testAccounting.py 184 KB
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#############################################################################
#
# Copyright (c) 2004 Nexedi SARL and Contributors. All Rights Reserved.
#          Jerome Perrin <jerome@nexedi.com>
#
# WARNING: This program as such is intended to be used by professional
# programmers who take the whole responsability of assessing all potential
# consequences resulting from its eventual inadequacies and bugs
# End users who are looking for a ready-to-use solution with commercial
# garantees and support are strongly adviced to contract a Free Software
# Service Company
#
# This program is Free Software; you can redistribute it and/or
# modify it under the terms of the GNU General Public License
# as published by the Free Software Foundation; either version 2
# of the License, or (at your option) any later version.
#
# This program is distributed in the hope that it will be useful,
# but WITHOUT ANY WARRANTY; without even the implied warranty of
# MERCHANTABILITY or FITNESS FOR A PARTICULAR PURPOSE. See the
# GNU General Public License for more details.
#
# You should have received a copy of the GNU General Public License
# along with this program; if not, write to the Free Software
# Foundation, Inc., 59 Temple Place - Suite 330, Boston, MA 02111-1307, USA.
#
##############################################################################

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"""Tests some accounting functionality.
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"""

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import unittest
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import os
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import transaction
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from DateTime import DateTime
from Products.CMFCore.utils import _checkPermission

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from Products.ERP5Type.tests.ERP5TypeTestCase import ERP5TypeTestCase
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from Products.ERP5Type.tests.utils import reindex
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from Products.DCWorkflow.DCWorkflow import ValidationFailed
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from AccessControl.SecurityManagement import newSecurityManager
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from Products.ERP5Type.tests.Sequence import SequenceList
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from Products.ERP5Form.Document.Preference import Priority
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SOURCE = 'source'
DESTINATION = 'destination'
RUN_ALL_TESTS = 1
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QUIET = 1
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# Associate transaction portal type to the corresponding line portal type.
transaction_to_line_mapping = {
    'Accounting Transaction': 'Accounting Transaction Line',
    'Balance Transaction': 'Balance Transaction Line',
    'Purchase Invoice Transaction': 'Purchase Invoice Transaction Line',
    'Sale Invoice Transaction': 'Sale Invoice Transaction Line',
    'Payment Transaction': 'Accounting Transaction Line',
  }


class AccountingTestCase(ERP5TypeTestCase):
  """A test case for all accounting tests.

  Like in erp5_accounting_ui_test, the testing environment is made of:

  Currencies:
    * EUR with precision 2
    * USD with precision 2
    * JPY with precision 0

  Regions:
    * region/europe/west/france
    
  Group:
    * group/demo_group
    * group/demo_group/sub1
    * group/demo_group/sub2
    * group/client
    * group/vendor'
    
  Payment Mode:
    * payment_mode/cash
    * payment_mode/check
  
  Organisations:
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    * `self.section` an organisation using EUR as default currency, without any
    openned accounting period by default. This organisation is member of
    group/demo_group/sub1
    * `self.master_section` an using EUR as default currency, without any
    openned accounting period by default. This organisation is member of
    group/demo_group. Both self.master_section and self.section are in the same
    company from accounting point of view.
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    * self.client_1, self.client_2 & self.supplier, some other organisations
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  Accounts:
      All accounts are associated to a virtual GAP category named "My Accounting
    Standards":
    * bank
    * collected_vat
    * equity
    * fixed_assets
    * goods_purchase
    * goods_sales
    * payable
    * receivable
    * refundable_vat
    * stocks
  
  Tests starts with a preference activated for self.my_organisation, logged in
  as a user with Assignee, Assignor and Author role.

  All documents created appart from this configuration will be deleted in
  teardown. So users of this test case are encouraged to create new documents
  rather than modifying default documents. 
  """
  
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  username = 'username'
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  @reindex
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  def _makeOne(self, portal_type='Accounting Transaction', lines=None,
               simulation_state='draft', **kw):
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    """Creates an accounting transaction, and edit it with kw.
    
    The default settings is for self.section.
    You can pass a list of mapping as lines, then lines will be created
    using this information.
    """
    created_by_builder = kw.pop('created_by_builder', lines is not None)
    kw.setdefault('start_date', DateTime())
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    if 'resource_value' not in kw:
      kw.setdefault('resource', 'currency_module/euro')
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    if portal_type in ('Purchase Invoice Transaction',
                       'Balance Transaction'):
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      if 'destination_section' not in kw:
        kw.setdefault('destination_section_value', self.section)
    else:
      if 'source_section' not in kw:
        kw.setdefault('source_section_value', self.section)
    tr = self.accounting_module.newContent(portal_type=portal_type,
                         created_by_builder=created_by_builder, **kw)
    if lines:
      for line in lines:
        line.setdefault('portal_type', transaction_to_line_mapping[portal_type])
        tr.newContent(**line)
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    if simulation_state == 'planned':
      tr.plan()
    elif simulation_state == 'confirmed':
      tr.confirm()
    elif simulation_state in ('stopped', 'delivered'):
      tr.stop()
      if simulation_state == 'delivered':
        tr.deliver()
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    return tr


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  def login(self, name=username):
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    """login with Assignee, Assignor & Author roles."""
    uf = self.getPortal().acl_users
    uf._doAddUser(self.username, '', ['Assignee', 'Assignor', 'Author'], [])
    user = uf.getUserById(self.username).__of__(uf)
    newSecurityManager(None, user)


  def setUp(self):
    """Setup the fixture.
    """
    ERP5TypeTestCase.setUp(self)
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    if os.environ.get('erp5_save_data_fs'):
      return
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    self.portal = self.getPortal()
    self.account_module = self.portal.account_module
    self.accounting_module = self.portal.accounting_module
    self.organisation_module = self.portal.organisation_module
    self.person_module = self.portal.person_module
    self.currency_module = self.portal.currency_module
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    if not hasattr(self, 'section'):
      self.section = getattr(self.organisation_module, 'my_organisation', None)
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    if not hasattr(self, 'main_section'):
      self.main_section = getattr(self.organisation_module, 'main_organisation', None)
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    # make sure documents are validated
    for module in (self.account_module, self.organisation_module,
                   self.person_module):
      for doc in module.objectValues():
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        if doc.getValidationState() != 'validated':
          doc.validate()
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    # and the preference enabled
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    pref = self.portal.portal_preferences._getOb(
                  'accounting_zuite_preference', None)
    if pref is not None:
      pref.manage_addLocalRoles(self.username, ('Auditor', ))
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      if pref.getPreferenceState() != 'enabled':
        pref.enable()
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    self.validateRules()

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    # and all this available to catalog
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    transaction.commit()
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    self.tic()


  def tearDown(self):
    """Remove all documents, except the default ones.
    """
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    if os.environ.get('erp5_save_data_fs'):
      return
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    transaction.abort()
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    self.accounting_module.manage_delObjects(
                      list(self.accounting_module.objectIds()))
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    organisation_list = ('my_organisation', 'main_organisation',
                         'client_1', 'client_2', 'supplier')
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    self.organisation_module.manage_delObjects([x for x in 
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          self.accounting_module.objectIds() if x not in organisation_list])
    for organisation_id in organisation_list:
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      organisation = self.organisation_module._getOb(organisation_id, None)
      if organisation is not None:
        organisation.manage_delObjects([x.getId() for x in
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                organisation.objectValues(
                  portal_type=('Accounting Period', 'Bank Account'))])
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    self.person_module.manage_delObjects([x for x in 
          self.person_module.objectIds() if x not in ('john_smith',)])
    self.account_module.manage_delObjects([x for x in 
          self.account_module.objectIds() if x not in ('bank', 'collected_vat',
            'equity', 'fixed_assets', 'goods_purchase', 'goods_sales',
            'payable', 'receivable', 'refundable_vat', 'stocks',)])
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    self.portal.portal_preferences.manage_delObjects([x.getId() for x in
          self.portal.portal_preferences.objectValues()
          if x.getId() not in ('accounting_zuite_preference', 'default_site_preference')
          and x.getPriority() != Priority.SITE])
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    self.portal.portal_simulation.manage_delObjects(list(
          self.portal.portal_simulation.objectIds()))
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    transaction.commit()
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    self.tic()
    ERP5TypeTestCase.tearDown(self)


  def getBusinessTemplateList(self):
    """Returns list of BT to be installed."""
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    # note that this test case does *not* install erp5_invoicing, even if it's
    # a dependancy of erp5_accounting_ui_test, because it's used to test
    # standalone accounting and only installs erp5_accounting_ui_test to have
    # some default content created.
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    return ('erp5_base', 'erp5_pdm', 'erp5_trade', 'erp5_accounting',
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            'erp5_accounting_ui_test', 'erp5_ods_style')
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class TestAccounts(AccountingTestCase):
  """Tests Accounts.
  """
  def test_AccountValidation(self):
    # Accounts need a gap category and an account_type category to be valid
    account = self.portal.account_module.newContent(portal_type='Account')
    self.assertEquals(2, len(account.checkConsistency()))
    account.setAccountType('equity')
    self.assertEquals(1, len(account.checkConsistency()))
    account.setGap('my_country/my_accounting_standards/1')
    self.assertEquals(0, len(account.checkConsistency()))
    
  def test_AccountWorkflow(self):
    account = self.portal.account_module.newContent(portal_type='Account')
    self.assertEquals('draft', account.getValidationState())
    doActionFor = self.portal.portal_workflow.doActionFor
    self.assertRaises(ValidationFailed, doActionFor, account,
                          'validate_action')
    account.setAccountType('equity')
    account.setGap('my_country/my_accounting_standards/1')
    doActionFor(account, 'validate_action')
    self.assertEquals('validated', account.getValidationState())

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  def test_isCreditAccount(self):
    """Tests the 'credit_account' property on account, which was named
    is_credit_account, which generated isIsCreditAccount accessor"""
    account = self.portal.account_module.newContent(portal_type='Account')
    # simulate an old object
    account.is_credit_account = True
    self.failUnless(account.isCreditAccount())
    self.failUnless(account.getProperty('credit_account'))
    
    account.setCreditAccount(False)
    self.failIf(account.isCreditAccount())
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class TestTransactionValidation(AccountingTestCase):
  """Test validations of accounting transactions.

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  In this test suite, the main section have a closed accounting period for
  2006, and an open one for 2007.
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  """
  def afterSetUp(self):
    self.organisation_module = self.portal.organisation_module
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    self.main_section = self.organisation_module.main_organisation
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    if 'accounting_period_2006' not in self.main_section.objectIds():
      accounting_period_2006 = self.main_section.newContent(
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                                  id='accounting_period_2006',
                                  portal_type='Accounting Period',
                                  start_date=DateTime('2006/01/01'),
                                  stop_date=DateTime('2006/12/31'))
      accounting_period_2006.start()
      accounting_period_2006.stop()
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      accounting_period_2007 = self.main_section.newContent(
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                                  id='accounting_period_2007',
                                  portal_type='Accounting Period',
                                  start_date=DateTime('2007/01/01'),
                                  stop_date=DateTime('2007/12/31'))
      accounting_period_2007.start()
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      transaction.commit()
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      self.tic()

  def test_SaleInvoiceTransactionValidationDate(self):
    # Accounting Period Date matters for Sale Invoice Transaction
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    accounting_transaction = self._makeOne(
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               portal_type='Sale Invoice Transaction',
               start_date=DateTime('2006/03/03'),
               destination_section_value=self.organisation_module.supplier,
               lines=(dict(source_value=self.account_module.goods_purchase,
                           source_debit=500),
                      dict(source_value=self.account_module.receivable,
                           source_credit=500)))
    # validation is refused, because period is closed
    self.assertRaises(ValidationFailed,
        self.portal.portal_workflow.doActionFor,
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        accounting_transaction, 'stop_action')
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    # in 2007, it's OK
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    accounting_transaction.setStartDate(DateTime("2007/03/03"))
    self.portal.portal_workflow.doActionFor(accounting_transaction, 'stop_action')
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  def test_PurchaseInvoiceTransactionValidationDate(self):
    # Accounting Period Date matters for Purchase Invoice Transaction
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    accounting_transaction = self._makeOne(
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               portal_type='Purchase Invoice Transaction',
               stop_date=DateTime('2006/03/03'),
               source_section_value=self.organisation_module.supplier,
               lines=(dict(destination_value=self.account_module.goods_purchase,
                           destination_debit=500),
                      dict(destination_value=self.account_module.receivable,
                           destination_credit=500)))
    # validation is refused, because period is closed
    self.assertRaises(ValidationFailed,
        self.portal.portal_workflow.doActionFor,
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        accounting_transaction, 'stop_action')
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    # in 2007, it's OK
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    accounting_transaction.setStopDate(DateTime("2007/03/03"))
    self.portal.portal_workflow.doActionFor(accounting_transaction, 'stop_action')
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  def test_PaymentTransactionValidationDate(self):
    # Accounting Period Date matters for Payment Transaction
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    accounting_transaction = self._makeOne(
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               portal_type='Payment Transaction',
               start_date=DateTime('2006/03/03'),
               destination_section_value=self.organisation_module.supplier,
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               payment_mode='default',
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               lines=(dict(source_value=self.account_module.goods_purchase,
                           source_debit=500),
                      dict(source_value=self.account_module.receivable,
                           source_credit=500)))
    # validation is refused, because period is closed
    self.assertRaises(ValidationFailed,
        self.portal.portal_workflow.doActionFor,
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        accounting_transaction, 'stop_action')
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    # in 2007, it's OK
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    accounting_transaction.setStartDate(DateTime("2007/03/03"))
    self.portal.portal_workflow.doActionFor(accounting_transaction, 'stop_action')
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  def test_DestinationPaymentTransactionValidationDate(self):
    # Accounting Period Date matters for Payment Transaction
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    accounting_transaction = self._makeOne(
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               portal_type='Payment Transaction',
               stop_date=DateTime('2006/03/03'),
               source_section_value=self.organisation_module.supplier,
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               destination_section_value=self.section,
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               payment_mode='default',
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               lines=(dict(destination_value=self.account_module.goods_purchase,
                           destination_debit=500),
                      dict(destination_value=self.account_module.receivable,
                           destination_credit=500)))
    # validation is refused, because period is closed
    self.assertRaises(ValidationFailed,
        self.portal.portal_workflow.doActionFor,
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        accounting_transaction, 'stop_action')
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    # in 2007, it's OK
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    accounting_transaction.setStopDate(DateTime("2007/03/03"))
    self.portal.portal_workflow.doActionFor(accounting_transaction, 'stop_action')
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  def test_UnusedSectionTransactionValidationDate(self):
    # If a section doesn't have any accounts on its side, we don't check the
    # accounting period dates
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    accounting_transaction = self._makeOne(
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               portal_type='Accounting Transaction',
               start_date=DateTime('2006/03/03'),
               source_section_value=self.organisation_module.supplier,
               destination_section_value=self.section,
               payment_mode='default',
               lines=(dict(source_value=self.account_module.goods_purchase,
                           destination_value=self.account_module.goods_purchase,
                           source_debit=500),
                      dict(source_value=self.account_module.receivable,
                           destination_value=self.account_module.receivable,
                           source_credit=500)))

    # 2006 is closed for destination_section
    self.assertRaises(ValidationFailed,
        self.portal.portal_workflow.doActionFor,
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        accounting_transaction, 'stop_action')
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    # If we don't have accounts on destination side, validating transaction is
    # not refused
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    for line in accounting_transaction.getMovementList():
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      line.setDestination(None)
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    self.portal.portal_workflow.doActionFor(accounting_transaction, 'stop_action')
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  def test_AccountingTransactionValidationStartDate(self):
    # Check we can/cannot validate at date boundaries of the period
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    accounting_transaction = self._makeOne(
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               portal_type='Accounting Transaction',
               start_date=DateTime('2006/12/31'),
               destination_section_value=self.organisation_module.supplier,
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               payment_mode='default',
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               lines=(dict(source_value=self.account_module.goods_purchase,
                           source_debit=500),
                      dict(source_value=self.account_module.receivable,
                           source_credit=500)))
    # validation is refused, because period is closed
    self.assertRaises(ValidationFailed,
        self.portal.portal_workflow.doActionFor,
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        accounting_transaction, 'stop_action')
    accounting_transaction.setStartDate(DateTime("2007/01/01"))
    self.portal.portal_workflow.doActionFor(accounting_transaction, 'stop_action')
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  def test_AccountingTransactionValidationBeforePeriod(self):
    # Check we cannot validate before the period
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    accounting_transaction = self._makeOne(
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               portal_type='Accounting Transaction',
               start_date=DateTime('2003/12/31'),
               destination_section_value=self.organisation_module.supplier,
               payment_mode='default',
               lines=(dict(source_value=self.account_module.goods_purchase,
                           source_debit=500),
                      dict(source_value=self.account_module.receivable,
                           source_credit=500)))
    # validation is refused, because there are no open period for 2008
    self.assertRaises(ValidationFailed,
        self.portal.portal_workflow.doActionFor,
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        accounting_transaction, 'stop_action')
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  def test_AccountingTransactionValidationAfterPeriod(self):
    # Check we cannot validate after the period
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    accounting_transaction = self._makeOne(
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               portal_type='Accounting Transaction',
               start_date=DateTime('2008/12/31'),
               destination_section_value=self.organisation_module.supplier,
               payment_mode='default',
               lines=(dict(source_value=self.account_module.goods_purchase,
                           source_debit=500),
                      dict(source_value=self.account_module.receivable,
                           source_credit=500)))
    # validation is refused, because there are no open period for 2008
    self.assertRaises(ValidationFailed,
        self.portal.portal_workflow.doActionFor,
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        accounting_transaction, 'stop_action')
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  def test_AccountingTransactionValidationRecursivePeriod(self):
    # Check we can/cannot validate when secondary period exists

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    accounting_period_2007 = self.main_section.accounting_period_2007
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    accounting_period_2007_1 = accounting_period_2007.newContent(
                                portal_type='Accounting Period',
                                start_date=DateTime('2007/01/01'),
                                stop_date=DateTime('2007/01/31'),)
    accounting_period_2007_1.start()
    accounting_period_2007_1.stop()

    accounting_period_2007_2 = accounting_period_2007.newContent(
                                portal_type='Accounting Period',
                                start_date=DateTime('2007/02/01'),
                                stop_date=DateTime('2007/02/28'),)
    accounting_period_2007_2.start()

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    accounting_transaction = self._makeOne(
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               portal_type='Accounting Transaction',
               start_date=DateTime('2007/01/02'),
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               source_section_value=self.main_section,
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               destination_section_value=self.organisation_module.supplier,
               payment_mode='default',
               lines=(dict(source_value=self.account_module.goods_purchase,
                           source_debit=500),
                      dict(source_value=self.account_module.receivable,
                           source_credit=500)))
    # validation is refused, because there are no open period for 2007-01
    self.assertRaises(ValidationFailed,
        self.portal.portal_workflow.doActionFor,
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        accounting_transaction, 'stop_action')
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    # in 2007-02, it's OK
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    accounting_transaction.setStartDate(DateTime("2007/02/02"))
    self.portal.portal_workflow.doActionFor(accounting_transaction, 'stop_action')
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  def test_PaymentTransactionWithEmployee(self):
    # we have to set bank account if we use an asset/cash/bank account, but not
    # for our employees
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    accounting_transaction = self._makeOne(
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               portal_type='Accounting Transaction',
               start_date=DateTime('2007/01/02'),
               destination_section_value=self.person_module.john_smith,
               payment_mode='default',
               lines=(dict(source_value=self.account_module.bank,
                           destination_value=self.account_module.bank,
                           source_debit=500),
                      dict(source_value=self.account_module.receivable,
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                           destination_value=self.account_module.receivable,
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                           source_credit=500)))
    # refused because no bank account
    self.assertRaises(ValidationFailed,
        self.portal.portal_workflow.doActionFor,
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        accounting_transaction, 'stop_action')
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    # with bank account, it's OK
    bank_account = self.section.newContent(portal_type='Bank Account')
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    accounting_transaction.setSourcePaymentValue(bank_account)
    self.portal.portal_workflow.doActionFor(accounting_transaction, 'stop_action')
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  def test_NonBalancedAccountingTransaction(self):
    # Accounting Transactions have to be balanced to be validated
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    accounting_transaction = self._makeOne(
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               portal_type='Accounting Transaction',
               start_date=DateTime('2007/01/02'),
               destination_section_value=self.organisation_module.client_1,
               resource='currency_module/yen',
               lines=(dict(source_value=self.account_module.payable,
                           source_asset_debit=39,
                           source_debit=500),
                      dict(source_value=self.account_module.receivable,
                           source_asset_credit=38.99,
                           source_credit=500)))
    # refused because not balanced
    self.assertRaises(ValidationFailed,
        self.portal.portal_workflow.doActionFor,
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        accounting_transaction, 'stop_action')
    for line in accounting_transaction.getMovementList():
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      if line.getSourceId() == 'payable':
        line.setSourceAssetDebit(38.99)
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    self.portal.portal_workflow.doActionFor(accounting_transaction, 'stop_action')
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  def test_NonBalancedDestinationAccountingTransaction(self):
    # Accounting Transactions have to be balanced to be validated,
    # also for destination
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    accounting_transaction = self._makeOne(
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               portal_type='Accounting Transaction',
               start_date=DateTime('2007/01/02'),
               destination_section_value=self.organisation_module.client_1,
               resource='currency_module/yen',
               lines=(dict(source_value=self.account_module.payable,
                           destination_value=self.account_module.receivable,
                           destination_asset_debit=39,
                           source_debit=500),
                      dict(source_value=self.account_module.receivable,
                           destination_value=self.account_module.payable,
                           destination_asset_credit=38.99,
                           source_credit=500)))
    # refused because not balanced
    self.assertRaises(ValidationFailed,
        self.portal.portal_workflow.doActionFor,
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        accounting_transaction, 'stop_action')
    for line in accounting_transaction.getMovementList():
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      if line.getDestinationId() == 'receivable':
        line.setDestinationAssetDebit(38.99)
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    self.portal.portal_workflow.doActionFor(accounting_transaction, 'stop_action')
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  def test_NonBalancedDestinationAccountingTransactionNoAccount(self):
    # Accounting Transactions have to be balanced to be validated,
    # also for destination
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    accounting_transaction = self._makeOne(
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               portal_type='Accounting Transaction',
               start_date=DateTime('2007/01/02'),
               destination_section_value=self.organisation_module.client_1,
               resource='currency_module/yen',
               lines=(dict(source_value=self.account_module.payable,
                           destination_asset_debit=39,
                           source_debit=500),
                      dict(source_value=self.account_module.receivable,
                           destination_value=self.account_module.receivable,
                           destination_asset_credit=38.99,
                           source_credit=500)))
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    # This is not balanced but there are no accounts on destination
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    self.assertRaises(ValidationFailed,
        self.portal.portal_workflow.doActionFor,
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        accounting_transaction, 'stop_action')
    for line in accounting_transaction.getMovementList():
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      if line.getDestinationId() == 'receivable':
        line.setDestination(None)
    # but if there are no accounts defined it's not a problem
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    self.portal.portal_workflow.doActionFor(accounting_transaction, 'stop_action')
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  def test_NonBalancedAccountingTransactionSectionOnLines(self):
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    accounting_transaction = self._makeOne(
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               portal_type='Accounting Transaction',
               start_date=DateTime('2007/01/02'),
               resource='currency_module/yen',
               lines=(dict(source_value=self.account_module.goods_sales,
                           destination_value=self.account_module.goods_purchase,
                           destination_section_value=self.organisation_module.client_1,
                           source_debit=500),
                      dict(source_value=self.account_module.goods_purchase,
                           source_credit=500)))

    # This is not balanced for client 1
    self.assertRaises(ValidationFailed,
        self.portal.portal_workflow.doActionFor,
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        accounting_transaction, 'stop_action')
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    for line in accounting_transaction.getMovementList():
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      line.setDestinationSection(None)
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    self.assertEquals([], accounting_transaction.checkConsistency())
    self.portal.portal_workflow.doActionFor(accounting_transaction, 'stop_action')
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  def test_NonBalancedAccountingTransactionDifferentSectionOnLines(self):
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    accounting_transaction = self._makeOne(
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               portal_type='Accounting Transaction',
               start_date=DateTime('2007/01/02'),
               resource='currency_module/yen',
               lines=(dict(source_value=self.account_module.goods_sales,
                           destination_value=self.account_module.goods_purchase,
                           destination_section_value=self.organisation_module.client_1,
                           source_debit=500),
                      dict(source_value=self.account_module.goods_purchase,
                           destination_value=self.account_module.goods_sales,
                           destination_section_value=self.organisation_module.client_2,
                           source_credit=500)))

    # This is not balanced for client 1 and client 2, but if you look globally,
    # it looks balanced.
    self.assertRaises(ValidationFailed,
        self.portal.portal_workflow.doActionFor,
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        accounting_transaction, 'stop_action')
    self.assertEquals(1, len(accounting_transaction.checkConsistency()),
                         accounting_transaction.checkConsistency())
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    for line in accounting_transaction.getMovementList():
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      line.setDestinationSectionValue(
          self.organisation_module.client_2)

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    self.assertEquals([], accounting_transaction.checkConsistency())
    self.portal.portal_workflow.doActionFor(accounting_transaction, 'stop_action')
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  def test_NonBalancedAccountingTransactionSectionPersonOnLines(self):
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    accounting_transaction = self._makeOne(
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               portal_type='Accounting Transaction',
               start_date=DateTime('2007/01/02'),
               resource='currency_module/yen',
               lines=(dict(source_value=self.account_module.goods_purchase,
                           destination_value=self.account_module.goods_purchase,
                           destination_section_value=self.person_module.john_smith,
                           source_debit=500),
                      dict(source_value=self.account_module.goods_purchase,
                           source_credit=500)))

    # This is not balanced for john smith, but as he is a person, it's not a
    # problem
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    self.assertEquals([], accounting_transaction.checkConsistency())
    self.portal.portal_workflow.doActionFor(accounting_transaction, 'stop_action')
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  def test_AccountingTransactionValidationRefusedWithCategoriesAsSections(self):
    # Validating a transaction with categories as sections is refused.
    # See http://wiki.erp5.org/Discussion/AccountingProblems
    category = self.section.getGroupValue()
    self.assertNotEquals(category, None)
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    accounting_transaction = self._makeOne(
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               portal_type='Accounting Transaction',
               start_date=DateTime('2007/01/02'),
               source_section_value=category,
               destination_section_value=self.organisation_module.client_1,
               resource='currency_module/yen',
               lines=(dict(source_value=self.account_module.payable,
                           source_debit=500),
                      dict(source_value=self.account_module.receivable,
                           source_credit=500)))
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    self.assertRaises(ValidationFailed,
        self.portal.portal_workflow.doActionFor,
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        accounting_transaction, 'stop_action')
    accounting_transaction.setSourceSectionValue(self.section)
    accounting_transaction.setDestinationSectionValue(category)
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    self.assertRaises(ValidationFailed,
        self.portal.portal_workflow.doActionFor,
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        accounting_transaction, 'stop_action')
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    accounting_transaction.setDestinationSectionValue(self.organisation_module.client_1)
    self.portal.portal_workflow.doActionFor(accounting_transaction, 'stop_action')
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  def test_AccountingWorkflow(self):
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    accounting_transaction = self._makeOne(
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               portal_type='Accounting Transaction',
               start_date=DateTime('2007/01/02'),
               destination_section_value=self.organisation_module.client_1,
               lines=(dict(source_value=self.account_module.payable,
                           destination_value=self.account_module.receivable,
                           source_debit=500),
                      dict(source_value=self.account_module.receivable,
                           destination_value=self.account_module.payable,
                           source_credit=500)))
    
    doActionFor = self.portal.portal_workflow.doActionFor
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    self.assertEquals('draft', accounting_transaction.getSimulationState())
    self.assertTrue(_checkPermission('Modify portal content',
      accounting_transaction))
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    doActionFor(accounting_transaction, 'plan_action')
    self.assertEquals('planned', accounting_transaction.getSimulationState())
    self.assertTrue(_checkPermission('Modify portal content',
      accounting_transaction))

    doActionFor(accounting_transaction, 'confirm_action')
    self.assertEquals('confirmed', accounting_transaction.getSimulationState())
    self.assertTrue(_checkPermission('Modify portal content',
      accounting_transaction))

    doActionFor(accounting_transaction, 'start_action')
    self.assertEquals('started', accounting_transaction.getSimulationState())
    self.assertTrue(_checkPermission('Modify portal content',
      accounting_transaction))

    doActionFor(accounting_transaction, 'stop_action')
    self.assertEquals('stopped', accounting_transaction.getSimulationState())
    self.assertFalse(_checkPermission('Modify portal content',
      accounting_transaction))
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    doActionFor(accounting_transaction, 'restart_action')
    self.assertEquals('started', accounting_transaction.getSimulationState())
    self.assertTrue(_checkPermission('Modify portal content',
      accounting_transaction))
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    doActionFor(accounting_transaction, 'stop_action')
    self.assertEquals('stopped', accounting_transaction.getSimulationState())
    self.assertFalse(_checkPermission('Modify portal content',
      accounting_transaction))
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    doActionFor(accounting_transaction, 'deliver_action')
    self.assertEquals('delivered', accounting_transaction.getSimulationState())
    self.assertFalse(_checkPermission('Modify portal content',
      accounting_transaction))
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  def test_UneededSourceAssetPrice(self):
    # It is refunsed to validate an accounting transaction if lines have an
    # asset price but the resource is the same as the accounting resource
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    accounting_transaction = self._makeOne(
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               portal_type='Accounting Transaction',
               start_date=DateTime('2007/01/02'),
               destination_section_value=self.organisation_module.client_1,
               lines=(dict(source_value=self.account_module.payable,
                           source_debit=500,
                           source_asset_debit=600),
                      dict(source_value=self.account_module.receivable,
                           source_credit=500,
                           source_asset_credit=600)))

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    section = accounting_transaction.getSourceSectionValue()
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    self.assertEquals(section.getPriceCurrency(),
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                      accounting_transaction.getResource())
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    # validation is refused
    doActionFor = self.portal.portal_workflow.doActionFor
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    self.assertRaises(ValidationFailed, doActionFor, accounting_transaction,
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                      'stop_action')
    # and the source conversion tab is visible
    self.failUnless(
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        accounting_transaction.AccountingTransaction_isSourceCurrencyConvertible())
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    # if asset price is set to the same value as quantity, validation is
    # allowed
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    for line in accounting_transaction.getMovementList():
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      if line.getSourceValue() == self.account_module.payable:
        line.setSourceAssetDebit(line.getSourceDebit())
      elif line.getSourceValue() == self.account_module.receivable:
        line.setSourceAssetCredit(line.getSourceCredit())
      else:
        self.fail('wrong line ?')
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    doActionFor(accounting_transaction, 'stop_action')
    self.assertEquals('stopped', accounting_transaction.getSimulationState())
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  def test_UneededDestinationAssetPrice(self):
    # It is refunsed to validate an accounting transaction if lines have an
    # asset price but the resource is the same as the accounting resource
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    accounting_transaction = self._makeOne(
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               portal_type='Purchase Invoice Transaction',
               start_date=DateTime('2007/01/02'),
               source_section_value=self.organisation_module.client_1,
               lines=(dict(destination_value=self.account_module.payable,
                           destination_debit=500,
                           destination_asset_debit=600),
                      dict(destination_value=self.account_module.receivable,
                           destination_credit=500,
                           destination_asset_credit=600)))

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    section = accounting_transaction.getDestinationSectionValue()
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    self.assertEquals(section.getPriceCurrency(),
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                      accounting_transaction.getResource())
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    # validation is refused
    doActionFor = self.portal.portal_workflow.doActionFor
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    self.assertRaises(ValidationFailed, doActionFor, accounting_transaction,
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                      'stop_action')
    # and the destination conversion tab is visible
    self.failUnless(
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        accounting_transaction.AccountingTransaction_isDestinationCurrencyConvertible())
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    # if asset price is set to the same value as quantity, validation is
    # allowed
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    for line in accounting_transaction.getMovementList():
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      if line.getDestinationValue() == self.account_module.payable:
        line.setDestinationAssetDebit(line.getDestinationDebit())
      elif line.getDestinationValue() == self.account_module.receivable:
        line.setDestinationAssetCredit(line.getDestinationCredit())
      else:
        self.fail('wrong line ?')

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    doActionFor(accounting_transaction, 'stop_action')
    self.assertEquals('stopped', accounting_transaction.getSimulationState())
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  def test_CancellationAmount(self):
    accounting_transaction = self._makeOne(
               portal_type='Accounting Transaction',
               start_date=DateTime('2007/01/02'),
               destination_section_value=self.organisation_module.client_1,
               lines=(dict(source_value=self.account_module.payable,
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                           source_debit=500),
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                      dict(source_value=self.account_module.receivable,
                           source_debit=-500,
                           cancellation_amount=True
                           )))

    self.assertEquals([], accounting_transaction.checkConsistency())
    self.portal.portal_workflow.doActionFor(accounting_transaction,
                                            'stop_action')

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class TestClosingPeriod(AccountingTestCase):
  """Various tests for closing the period.
  """
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  def beforeTearDown(self):
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    transaction.abort()
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    # we manually remove the content of stock table, because unindexObject
    # might not work correctly on Balance Transaction, and we don't want
    # leave something in stock table that will change the next test.
    self.portal.erp5_sql_connection.manage_test('truncate stock')
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    transaction.commit()
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  def test_createBalanceOnNode(self):
    period = self.section.newContent(portal_type='Accounting Period')
    period.setStartDate(DateTime(2006, 1, 1))
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    period.setStopDate(DateTime(2006, 12, 31))
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    transaction1 = self._makeOne(
        start_date=DateTime(2006, 1, 1),
        portal_type='Accounting Transaction',
        simulation_state='delivered',
        lines=(dict(source_value=self.account_module.equity,
                    source_debit=500),
               dict(source_value=self.account_module.stocks,
                    source_credit=500)))

    transaction2 = self._makeOne(
        start_date=DateTime(2006, 1, 2),
        portal_type='Accounting Transaction',
        simulation_state='delivered',
        lines=(dict(source_value=self.account_module.stocks,
                    source_debit=100),
               dict(source_value=self.account_module.goods_purchase,
                    source_credit=100)))

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    period.AccountingPeriod_createBalanceTransaction(
                               profit_and_loss_account=None)
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    accounting_transaction_list = self.accounting_module.contentValues()
    self.assertEquals(3, len(accounting_transaction_list))
    balance_transaction_list = self.accounting_module.contentValues(
                              portal_type='Balance Transaction')
    self.assertEquals(1, len(balance_transaction_list))
    balance_transaction = balance_transaction_list[0]

    # this should create a balance with 3 lines,
    #   equity = 500 D
    #   stocks =     400 C
    #   pl     =     100 C 
    self.assertEquals(self.section,
                      balance_transaction.getDestinationSectionValue())
    self.assertEquals(None,
                      balance_transaction.getSourceSection())
    self.assertEquals([period], balance_transaction.getCausalityValueList())
    self.assertEquals(DateTime(2007, 1, 1),
                      balance_transaction.getStartDate())
    self.assertEquals('currency_module/euro',
                      balance_transaction.getResource())
    self.assertEquals('delivered', balance_transaction.getSimulationState())
    movement_list = balance_transaction.getMovementList()
    self.assertEquals(3, len(movement_list))

    equity_movement_list = [m for m in movement_list
          if m.getDestinationValue() == self.account_module.equity]
    self.assertEquals(1, len(equity_movement_list))
    equity_movement = equity_movement_list[0]
    self.assertEquals([], equity_movement.getValueList('resource'))
    self.assertEquals([], equity_movement.getValueList('destination_section'))
    self.assertEquals(None, equity_movement.getSource())
    self.assertEquals(None, equity_movement.getSourceSection())
    self.assertEquals(None, equity_movement.getDestinationTotalAssetPrice())
    self.assertEquals(None, equity_movement.getSourceTotalAssetPrice())
    self.assertEquals(500., equity_movement.getDestinationDebit())

    stock_movement_list = [m for m in movement_list
          if m.getDestinationValue() == self.account_module.stocks]
    self.assertEquals(1, len(stock_movement_list))
    stock_movement = stock_movement_list[0]
    self.assertEquals([], stock_movement.getValueList('resource'))
    self.assertEquals([], stock_movement.getValueList('destination_section'))
    self.assertEquals(None, stock_movement.getSource())
    self.assertEquals(None, stock_movement.getSourceSection())
    self.assertEquals(None, stock_movement.getDestinationTotalAssetPrice())
    self.assertEquals(None, stock_movement.getSourceTotalAssetPrice())
    self.assertEquals(400., stock_movement.getDestinationCredit())

    pl_movement_list = [m for m in movement_list
                        if m.getDestinationValue() is None]
    self.assertEquals(1, len(pl_movement_list))
    pl_movement = pl_movement_list[0]
    self.assertEquals([], pl_movement.getValueList('resource'))
    self.assertEquals([], pl_movement.getValueList('destination_section'))
    self.assertEquals(None, pl_movement.getSource())
    self.assertEquals(None, pl_movement.getSourceSection())
    self.assertEquals(None, pl_movement.getDestinationTotalAssetPrice())
    self.assertEquals(None, pl_movement.getSourceTotalAssetPrice())
    self.assertEquals(100., pl_movement.getDestinationCredit())


  def test_createBalanceOnMirrorSection(self):
    organisation_module = self.organisation_module
    period = self.section.newContent(portal_type='Accounting Period')
    period.setStartDate(DateTime(2006, 1, 1))
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    period.setStopDate(DateTime(2006, 12, 31))
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    pl = self.portal.account_module.newContent(
              portal_type='Account',
              account_type='equity')
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    transaction1 = self._makeOne(
        start_date=DateTime(2006, 1, 1),
        destination_section_value=organisation_module.client_1,
        portal_type='Sale Invoice Transaction',
        simulation_state='delivered',
        lines=(dict(source_value=self.account_module.goods_sales,
                    source_debit=100),
               dict(source_value=self.account_module.receivable,
                    source_credit=100)))

    transaction2 = self._makeOne(
        start_date=DateTime(2006, 1, 2),
        destination_section_value=organisation_module.client_2,
        portal_type='Sale Invoice Transaction',
        simulation_state='delivered',
        lines=(dict(source_value=self.account_module.goods_sales,
                    source_debit=200),
               dict(source_value=self.account_module.receivable,
                    source_credit=200)))

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    period.AccountingPeriod_createBalanceTransaction(
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                             profit_and_loss_account=pl.getRelativeUrl())
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    accounting_transaction_list = self.accounting_module.contentValues()
    self.assertEquals(3, len(accounting_transaction_list))
    balance_transaction_list = self.accounting_module.contentValues(
                              portal_type='Balance Transaction')
    self.assertEquals(1, len(balance_transaction_list))
    balance_transaction = balance_transaction_list[0]

    # this should create a balance with 3 lines,
    #   pl                 = 300 D
    #   receivable/client1 =     200 C
    #   receivable/client2 =     100 C
    self.assertEquals(self.section,
                      balance_transaction.getDestinationSectionValue())
    self.assertEquals(None, balance_transaction.getSourceSection())
    self.assertEquals(DateTime(2007, 1, 1),
                      balance_transaction.getStartDate())
    self.assertEquals('currency_module/euro',
                      balance_transaction.getResource())
    self.assertEquals('delivered', balance_transaction.getSimulationState())
    movement_list = balance_transaction.getMovementList()
    self.assertEquals(3, len(movement_list))

    client1_movement_list = [m for m in movement_list
     if m.getSourceSectionValue() == organisation_module.client_1]
    self.assertEquals(1, len(client1_movement_list))
    client1_movement = client1_movement_list[0]
    self.assertEquals([], client1_movement.getValueList('resource'))
    self.assertEquals([], client1_movement.getValueList('destination_section'))
    self.assertEquals(None, client1_movement.getSource())
    self.assertEquals(self.account_module.receivable,
                      client1_movement.getDestinationValue())
    self.assertEquals(organisation_module.client_1,
                      client1_movement.getSourceSectionValue())
    self.assertEquals(None, client1_movement.getDestinationTotalAssetPrice())
    self.assertEquals(None, client1_movement.getSourceTotalAssetPrice())
    self.assertEquals(100., client1_movement.getDestinationCredit())

    client2_movement_list = [m for m in movement_list
     if m.getSourceSectionValue() == organisation_module.client_2]
    self.assertEquals(1, len(client2_movement_list))
    client2_movement = client2_movement_list[0]
    self.assertEquals([], client2_movement.getValueList('resource'))
    self.assertEquals([], client2_movement.getValueList('destination_section'))
    self.assertEquals(None, client2_movement.getSource())
    self.assertEquals(self.account_module.receivable,
                      client2_movement.getDestinationValue())
    self.assertEquals(organisation_module.client_2,
                      client2_movement.getSourceSectionValue())
    self.assertEquals(None, client2_movement.getDestinationTotalAssetPrice())
    self.assertEquals(None, client2_movement.getSourceTotalAssetPrice())
    self.assertEquals(200., client2_movement.getDestinationCredit())

    pl_movement_list = [m for m in movement_list
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                        if m.getDestinationValue() == pl]
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    self.assertEquals(1, len(pl_movement_list))
    pl_movement = pl_movement_list[0]
    self.assertEquals([], pl_movement.getValueList('resource'))
    self.assertEquals(None, pl_movement.getSource())
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    self.assertEquals(pl,
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                      pl_movement.getDestinationValue())
    self.assertEquals(None,
                      pl_movement.getSourceSection())
    self.assertEquals(None, pl_movement.getDestinationTotalAssetPrice())
    self.assertEquals(None, pl_movement.getSourceTotalAssetPrice())
    self.assertEquals(300., pl_movement.getDestinationDebit())
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    transaction.commit()
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    self.tic()
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  def test_createBalanceOnPayment(self):
    organisation_module = self.organisation_module
    period = self.section.newContent(portal_type='Accounting Period')
    period.setStartDate(DateTime(2006, 1, 1))
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    period.setStopDate(DateTime(2006, 12, 31))
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    bank1 = self.section.newContent(
                    id='bank1', reference='bank1',
                    portal_type='Bank Account')
    bank2 = self.section.newContent(
                    id='bank2', reference='bank2',
                    portal_type='Bank Account')

    transaction1 = self._makeOne(
        start_date=DateTime(2006, 1, 1),
        destination_section_value=organisation_module.client_1,
        source_payment_value=bank1,
        title='bank 1',
        portal_type='Payment Transaction',
        simulation_state='delivered',
        lines=(dict(source_value=self.account_module.receivable,
                    source_debit=100),
               dict(source_value=self.account_module.bank,
                    source_credit=100)))
    
    # we are destination on this one
    transaction2 = self._makeOne(
        stop_date=DateTime(2006, 1, 2),
        destination_section_value=self.section,
        destination_payment_value=bank2,
        source_section_value=organisation_module.client_2,
        title='bank 2',
        portal_type='Payment Transaction',
        simulation_state='delivered',
        lines=(dict(destination_value=self.account_module.bank,
                    destination_debit=200),
               dict(destination_value=self.account_module.goods_purchase,
                    destination_credit=200)))

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    period.AccountingPeriod_createBalanceTransaction(
                             profit_and_loss_account=None)
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    accounting_transaction_list = self.accounting_module.contentValues()
    self.assertEquals(3, len(accounting_transaction_list))
    balance_transaction_list = self.accounting_module.contentValues(
                              portal_type='Balance Transaction')
    self.assertEquals(1, len(balance_transaction_list))
    balance_transaction = balance_transaction_list[0]

    # this should create a balance with 4 lines,
    #   receivable/client_1 = 100 D
    #   bank/bank1          =     100 C
    #   bank/bank2          = 200 D
    #   pl                  =     200 C

    self.assertEquals(self.section,
                      balance_transaction.getDestinationSectionValue())
    self.assertEquals(None,
                      balance_transaction.getSourceSection())
    self.assertEquals([period], balance_transaction.getCausalityValueList())
    self.assertEquals(DateTime(2007, 1, 1),
                      balance_transaction.getStartDate())
    self.assertEquals('currency_module/euro',
                      balance_transaction.getResource())
    self.assertEquals('delivered', balance_transaction.getSimulationState())
    movement_list = balance_transaction.getMovementList()
    self.assertEquals(4, len(movement_list))
    
    receivable_movement_list = [m for m in movement_list
        if m.getDestinationValue() == self.account_module.receivable]
    self.assertEquals(1, len(receivable_movement_list))
    receivable_movement = receivable_movement_list[0]
    self.assertEquals([], receivable_movement.getValueList('resource'))
    self.assertEquals(None, receivable_movement.getSource())
    self.assertEquals(self.account_module.receivable,
                      receivable_movement.getDestinationValue())
    self.assertEquals(self.organisation_module.client_1,
                      receivable_movement.getSourceSectionValue())
    self.assertEquals(None, receivable_movement.getDestinationTotalAssetPrice())
    self.assertEquals(None, receivable_movement.getSourceTotalAssetPrice())
    self.assertEquals(100., receivable_movement.getDestinationDebit())

    bank1_movement_list = [m for m in movement_list
                       if m.getDestinationPaymentValue() == bank1]
    self.assertEquals(1, len(bank1_movement_list))
    bank1_movement = bank1_movement_list[0]
    self.assertEquals([], bank1_movement.getValueList('resource'))
    self.assertEquals(None, bank1_movement.getSource())
    self.assertEquals(self.account_module.bank,
                      bank1_movement.getDestinationValue())
    self.assertEquals(bank1,
                      bank1_movement.getDestinationPaymentValue())
    self.assertEquals(None,
                      bank1_movement.getSourceSectionValue())
    self.assertEquals(None, bank1_movement.getDestinationTotalAssetPrice())
    self.assertEquals(None, bank1_movement.getSourceTotalAssetPrice())
    self.assertEquals(100., bank1_movement.getDestinationCredit())

    bank2_movement_list = [m for m in movement_list
                         if m.getDestinationPaymentValue() == bank2]
    self.assertEquals(1, len(bank2_movement_list))
    bank2_movement = bank2_movement_list[0]
    self.assertEquals([], bank2_movement.getValueList('resource'))
    self.assertEquals(None, bank2_movement.getSource())
    self.assertEquals(self.account_module.bank,
                      bank2_movement.getDestinationValue())
    self.assertEquals(bank2,
                      bank2_movement.getDestinationPaymentValue())
    self.assertEquals(None,
                      bank2_movement.getSourceSectionValue())
    self.assertEquals(None, bank2_movement.getDestinationTotalAssetPrice())
    self.assertEquals(None, bank2_movement.getSourceTotalAssetPrice())
    self.assertEquals(200., bank2_movement.getDestinationDebit())

    pl_movement_list = [m for m in movement_list
                         if m.getDestination() is None]
    self.assertEquals(1, len(pl_movement_list))
    pl_movement = pl_movement_list[0]
    self.assertEquals([], pl_movement.getValueList('resource'))
    self.assertEquals(None, pl_movement.getSource())
    self.assertEquals(None, pl_movement.getDestination())
    self.assertEquals(None, pl_movement.getDestinationPaymentValue())
    self.assertEquals(None, pl_movement.getSourceSectionValue())
    self.assertEquals(None, pl_movement.getDestinationTotalAssetPrice())
    self.assertEquals(None, pl_movement.getSourceTotalAssetPrice())
    self.assertEquals(200., pl_movement.getDestinationCredit())


  def test_createBalanceOnMirrorSectionMultiCurrency(self):
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    pl = self.portal.account_module.newContent(
              portal_type='Account',
              account_type='equity')
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    organisation_module = self.organisation_module
    period = self.section.newContent(portal_type='Accounting Period')
    period.setStartDate(DateTime(2006, 1, 1))
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    period.setStopDate(DateTime(2006, 12, 31))
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    transaction1 = self._makeOne(
        start_date=DateTime(2006, 1, 1),
        title='Yen',
        resource='currency_module/yen',
        destination_section_value=organisation_module.client_1,
        portal_type='Sale Invoice Transaction',
        simulation_state='delivered',
        lines=(dict(source_value=self.account_module.goods_sales,
                    source_asset_debit=1.1,
                    source_debit=100),
               dict(source_value=self.account_module.receivable,
                    source_asset_credit=1.1,
                    source_credit=100)))

    transaction2 = self._makeOne(
        start_date=DateTime(2006, 1, 2),
        title='Dollar',
        resource='currency_module/usd',
        destination_section_value=organisation_module.client_2,
        portal_type='Sale Invoice Transaction',
        simulation_state='delivered',
        lines=(dict(source_value=self.account_module.goods_sales,
                    source_asset_debit=2.2,
                    source_debit=200),
               dict(source_value=self.account_module.receivable,
                    source_asset_credit=2.2,
                    source_credit=200)))

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    period.AccountingPeriod_createBalanceTransaction(
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                      profit_and_loss_account=pl.getRelativeUrl())
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    accounting_transaction_list = self.accounting_module.contentValues()
    self.assertEquals(3, len(accounting_transaction_list))
    balance_transaction_list = self.accounting_module.contentValues(
                              portal_type='Balance Transaction')
    self.assertEquals(1, len(balance_transaction_list))
    balance_transaction = balance_transaction_list[0]

    self.assertEquals(self.section,
                      balance_transaction.getDestinationSectionValue())
    self.assertEquals(None, balance_transaction.getSourceSection())
    self.assertEquals(DateTime(2007, 1, 1),
                      balance_transaction.getStartDate())
    self.assertEquals('currency_module/euro',
                      balance_transaction.getResource())

    # this should create a balance with 3 lines,
    #   pl                 = 3.3 D     ( resource acquired )
    #   receivable/client1 =     1.1 C ( resource yen ) qty=100
    #   receivable/client2 =     2.2 C ( resource usd ) qyt=200
    
    accounting_currency_precision = \
        self.portal.currency_module.euro.getQuantityPrecision()
    self.assertEquals(accounting_currency_precision, 2)

    movement_list = balance_transaction.getMovementList()
    self.assertEquals(3, len(movement_list))
    client1_movement_list = [m for m in movement_list
     if m.getSourceSectionValue() == organisation_module.client_1]
    self.assertEquals(1, len(client1_movement_list))
    client1_movement = client1_movement_list[0]
    self.assertEquals('currency_module/yen',
                      client1_movement.getResource())
    self.assertEquals([], client1_movement.getValueList('destination_section'))
    self.assertEquals(None, client1_movement.getSource())
    self.assertEquals(self.account_module.receivable,
                      client1_movement.getDestinationValue())
    self.assertEquals(organisation_module.client_1,
                      client1_movement.getSourceSectionValue())
    self.assertAlmostEquals(1.1,
          client1_movement.getDestinationInventoriatedTotalAssetCredit(),
          accounting_currency_precision)
    self.assertEquals(None, client1_movement.getSourceTotalAssetPrice())
    self.assertEquals(100, client1_movement.getDestinationCredit())

    client2_movement_list = [m for m in movement_list
     if m.getSourceSectionValue() == organisation_module.client_2]
    self.assertEquals(1, len(client2_movement_list))
    client2_movement = client2_movement_list[0]
    self.assertEquals('currency_module/usd',
                      client2_movement.getResource())
    self.assertEquals([], client2_movement.getValueList('destination_section'))
    self.assertEquals(None, client2_movement.getSource())
    self.assertEquals(self.account_module.receivable,
                      client2_movement.getDestinationValue())
    self.assertEquals(organisation_module.client_2,
                      client2_movement.getSourceSectionValue())
    self.assertAlmostEquals(2.2,
        client2_movement.getDestinationInventoriatedTotalAssetCredit(),
        accounting_currency_precision)
    self.assertEquals(None, client2_movement.getSourceTotalAssetPrice())
    self.assertEquals(200., client2_movement.getDestinationCredit())

    pl_movement_list = [m for m in movement_list
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                         if m.getDestinationValue() == pl]
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    self.assertEquals(1, len(pl_movement_list))
    pl_movement = pl_movement_list[0]
    self.assertEquals([], pl_movement.getValueList('resource'))
    self.assertEquals(None, pl_movement.getSource())
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    self.assertEquals(pl,
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                      pl_movement.getDestinationValue())
    self.assertEquals(None,
                      pl_movement.getSourceSection())
    self.assertEquals(None, pl_movement.getDestinationTotalAssetPrice())
    self.assertEquals(None, pl_movement.getSourceTotalAssetPrice())
    self.assertAlmostEquals(3.3,
                  pl_movement.getDestinationDebit(),
                  accounting_currency_precision)
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    transaction.commit()
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    self.tic()

    # now check content of stock table
    q = self.portal.erp5_sql_connection.manage_test
    self.assertEquals(1, q(
      "SELECT count(*) FROM stock WHERE portal_type="
      "'Balance Transaction Line'")[0][0])
    self.assertEquals(3.3, q(
      "SELECT total_price FROM stock WHERE portal_type="
      "'Balance Transaction Line'")[0][0])
    self.assertEquals(3.3, q(
      "SELECT quantity FROM stock WHERE portal_type="
      "'Balance Transaction Line'")[0][0])
    self.assertEquals(self.portal.currency_module.euro.getUid(), q(
      "SELECT resource_uid FROM stock WHERE portal_type="
      "'Balance Transaction Line'")[0][0])
    self.assertEquals(self.section.getUid(), q(
      "SELECT section_uid FROM stock WHERE portal_type="
      "'Balance Transaction Line'")[0][0])
    self.assertEquals(None, q(
      "SELECT mirror_section_uid FROM stock WHERE portal_type="
      "'Balance Transaction Line'")[0][0])
    self.assertEquals(pl.getUid(), q(
      "SELECT node_uid FROM stock WHERE portal_type="
      "'Balance Transaction Line'")[0][0])
    self.assertEquals(None, q(
      "SELECT mirror_node_uid FROM stock WHERE portal_type="
      "'Balance Transaction Line'")[0][0])
    self.assertEquals(DateTime(2007, 1, 1), q(
      "SELECT date FROM stock WHERE portal_type="
      "'Balance Transaction Line'")[0][0])
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  def test_createBalanceOnMirrorSectionMultiCurrencySameMirrorSection(self):
    pl = self.portal.account_module.newContent(
              portal_type='Account',
              account_type='equity')
    organisation_module = self.organisation_module
    period = self.section.newContent(portal_type='Accounting Period')
    period.setStartDate(DateTime(2006, 1, 1))
    period.setStopDate(DateTime(2006, 12, 31))

    transaction1 = self._makeOne(
        start_date=DateTime(2006, 1, 1),
        title='Yen',
        resource='currency_module/yen',
        destination_section_value=organisation_module.client_1,
        portal_type='Sale Invoice Transaction',
        simulation_state='delivered',
        lines=(dict(source_value=self.account_module.goods_sales,
                    source_asset_debit=1.1,
                    source_debit=100),
               dict(source_value=self.account_module.receivable,
                    source_asset_credit=1.1,
                    source_credit=100)))

    transaction2 = self._makeOne(
        start_date=DateTime(2006, 1, 2),
        title='Dollar',
        resource='currency_module/usd',
        destination_section_value=organisation_module.client_1,
        portal_type='Sale Invoice Transaction',
        simulation_state='delivered',
        lines=(dict(source_value=self.account_module.goods_sales,
                    source_asset_debit=2.2,
                    source_debit=200),
               dict(source_value=self.account_module.receivable,
                    source_asset_credit=2.2,
                    source_credit=200)))
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    transaction.commit()
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    self.tic()

    period.AccountingPeriod_createBalanceTransaction(
                          profit_and_loss_account=pl.getRelativeUrl())
    accounting_transaction_list = self.accounting_module.contentValues()
    self.assertEquals(3, len(accounting_transaction_list))
    balance_transaction_list = self.accounting_module.contentValues(
                              portal_type='Balance Transaction')
    self.assertEquals(1, len(balance_transaction_list))
    balance_transaction = balance_transaction_list[0]

    self.assertEquals(self.section,
                      balance_transaction.getDestinationSectionValue())
    self.assertEquals(None, balance_transaction.getSourceSection())
    self.assertEquals(DateTime(2007, 1, 1),
                      balance_transaction.getStartDate())
    self.assertEquals('currency_module/euro',
                      balance_transaction.getResource())

    # this should create a balance with 3 lines,
    #   pl                 = 3.3 D     ( resource acquired )
    #   receivable/client1 =     1.1 C ( resource yen ) qty=100
    #   receivable/client1 =     2.2 C ( resource usd ) qyt=200
    
    accounting_currency_precision = \
        self.portal.currency_module.euro.getQuantityPrecision()
    self.assertEquals(accounting_currency_precision, 2)

    movement_list = balance_transaction.getMovementList()
    self.assertEquals(3, len(movement_list))
    client1_movement_list = [m for m in movement_list
     if m.getSourceSectionValue() == organisation_module.client_1]
    self.assertEquals(2, len(client1_movement_list))
    yen_movement = [x for x in client1_movement_list if
                    x.getResource() == 'currency_module/yen'][0]
    self.assertEquals([], yen_movement.getValueList('destination_section'))
    self.assertEquals(None, yen_movement.getSource())
    self.assertEquals(self.account_module.receivable,
                      yen_movement.getDestinationValue())
    self.assertEquals(organisation_module.client_1,
                      yen_movement.getSourceSectionValue())
    self.assertAlmostEquals(1.1,
          yen_movement.getDestinationInventoriatedTotalAssetCredit(),
          accounting_currency_precision)
    self.assertEquals(None, yen_movement.getSourceTotalAssetPrice())
    self.assertEquals(100, yen_movement.getDestinationCredit())

    dollar_movement = [x for x in client1_movement_list if
                    x.getResource() == 'currency_module/usd'][0]
    self.assertEquals([], dollar_movement.getValueList('destination_section'))
    self.assertEquals(None, dollar_movement.getSource())
    self.assertEquals(self.account_module.receivable,
                      dollar_movement.getDestinationValue())
    self.assertEquals(organisation_module.client_1,
                      dollar_movement.getSourceSectionValue())
    self.assertAlmostEquals(2.2,
          dollar_movement.getDestinationInventoriatedTotalAssetCredit(),
          accounting_currency_precision)
    self.assertEquals(None, dollar_movement.getSourceTotalAssetPrice())
    self.assertEquals(200, dollar_movement.getDestinationCredit())

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    transaction.commit()
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    self.tic()

    # now check content of stock table
    q = self.portal.erp5_sql_connection.manage_test
    self.assertEquals(1, q(
      "SELECT count(*) FROM stock WHERE portal_type="
      "'Balance Transaction Line'")[0][0])
    self.assertEquals(3.3, q(
      "SELECT total_price FROM stock WHERE portal_type="
      "'Balance Transaction Line'")[0][0])
    self.assertEquals(3.3, q(
      "SELECT quantity FROM stock WHERE portal_type="
      "'Balance Transaction Line'")[0][0])
    self.assertEquals(self.portal.currency_module.euro.getUid(), q(
      "SELECT resource_uid FROM stock WHERE portal_type="
      "'Balance Transaction Line'")[0][0])
    self.assertEquals(self.section.getUid(), q(
      "SELECT section_uid FROM stock WHERE portal_type="
      "'Balance Transaction Line'")[0][0])
    self.assertEquals(None, q(
      "SELECT mirror_section_uid FROM stock WHERE portal_type="
      "'Balance Transaction Line'")[0][0])
    self.assertEquals(pl.getUid(), q(
      "SELECT node_uid FROM stock WHERE portal_type="
      "'Balance Transaction Line'")[0][0])
    self.assertEquals(None, q(
      "SELECT mirror_node_uid FROM stock WHERE portal_type="
      "'Balance Transaction Line'")[0][0])
    self.assertEquals(DateTime(2007, 1, 1), q(
      "SELECT date FROM stock WHERE portal_type="
      "'Balance Transaction Line'")[0][0])


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  def test_AccountingPeriodWorkflow(self):
    """Tests that accounting_period_workflow creates a balance transaction.
    """
    # open a period for our section
    period = self.section.newContent(portal_type='Accounting Period')
    period.setStartDate(DateTime(2006, 1, 1))
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    period.setStopDate(DateTime(2006, 12, 31))
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    self.assertEquals('draft', period.getSimulationState())
    self.portal.portal_workflow.doActionFor(period, 'start_action')
    self.assertEquals('started', period.getSimulationState())

    # create a simple transaction in the period
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    accounting_transaction = self._makeOne(
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        start_date=DateTime(2006, 6, 30),
        portal_type='Sale Invoice Transaction',
        destination_section_value=self.organisation_module.client_1,
        simulation_state='delivered',
        lines=(dict(source_value=self.account_module.receivable,
                    source_credit=100),
               dict(source_value=self.account_module.goods_purchase,
                    source_debit=100)))
    self.assertEquals(1, len(self.accounting_module))

    # close the period
    self.portal.portal_workflow.doActionFor(period, 'stop_action')
    self.assertEquals('stopped', period.getSimulationState())
    # reopen it, then close it got real
    self.portal.portal_workflow.doActionFor(period, 'restart_action')
    self.assertEquals('started', period.getSimulationState())
    self.portal.portal_workflow.doActionFor(period, 'stop_action')
    self.assertEquals('stopped', period.getSimulationState())
    
    pl_account = self.portal.account_module.newContent(
                    portal_type='Account',
                    account_type='equity',
                    gap='my_country/my_accounting_standards/1',
                    title='Profit & Loss')
    pl_account.validate()
    self.portal.portal_workflow.doActionFor(
            period, 'deliver_action',
            profit_and_loss_account=pl_account.getRelativeUrl())

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    transaction.commit()
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    self.tic()
    self.assertEquals('delivered', period.getSimulationState())
    
    # this created a balance transaction
    balance_transaction_list = self.accounting_module.contentValues(
                                  portal_type='Balance Transaction')
    self.assertEquals(1, len(balance_transaction_list))
    balance_transaction = balance_transaction_list[0]

    # and this transaction must use the account we used in the workflow action.
    self.assertEquals(1, len([m for m in
                              balance_transaction.getMovementList()
                              if m.getDestinationValue() == pl_account]))


  def test_SecondAccountingPeriod(self):
    """Tests having two accounting periods.
    """
    period1 = self.section.newContent(portal_type='Accounting Period')
    period1.setStartDate(DateTime(2006, 1, 1))
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    period1.setStopDate(DateTime(2006, 12, 31))
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    period1.start()
    
    transaction1 = self._makeOne(
        start_date=DateTime(2006, 1, 2),
        portal_type='Purchase Invoice Transaction',
        source_section_value=self.organisation_module.client_1,
        simulation_state='delivered',
        lines=(dict(destination_value=self.account_module.goods_purchase,
                    destination_debit=100),
               dict(destination_value=self.account_module.payable,
                    destination_credit=100)))
    period1.stop()
    # deliver the period1 using workflow, so that we have 
    pl_account = self.portal.account_module.newContent(
                    portal_type='Account',
                    account_type='equity',
                    gap='my_country/my_accounting_standards/1',
                    title='Profit & Loss')
    pl_account.validate()
    self.portal.portal_workflow.doActionFor(
            period1, 'deliver_action',
            profit_and_loss_account=pl_account.getRelativeUrl())
    
    balance_transaction_list = self.accounting_module.contentValues(
                                  portal_type='Balance Transaction')
    self.assertEquals(1, len(balance_transaction_list))
    balance_transaction1 = balance_transaction_list[0]
    
    period2 = self.section.newContent(portal_type='Accounting Period')
    period2.setStartDate(DateTime(2007, 1, 1))
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    period2.setStopDate(DateTime(2007, 12, 31))
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    period2.start()

    transaction2 = self._makeOne(
        start_date=DateTime(2007, 1, 2),
        portal_type='Accounting Transaction',
        simulation_state='delivered',
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        lines=(dict(source_value=self.account_module.equity,
                    source_debit=100),
               dict(source_value=pl_account,
                    source_credit=100)))
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    transaction3 = self._makeOne(
        start_date=DateTime(2007, 1, 3),
        portal_type='Purchase Invoice Transaction',
        source_section_value=self.organisation_module.client_1,
        simulation_state='delivered',
        lines=(dict(destination_value=self.account_module.goods_purchase,
                    destination_debit=300),
               dict(destination_value=self.account_module.payable,
                    destination_credit=300)))
1557

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    period2.AccountingPeriod_createBalanceTransaction(
                profit_and_loss_account=pl_account.getRelativeUrl())
    balance_transaction_list = [tr for tr in 
                          self.accounting_module.contentValues(
                              portal_type='Balance Transaction')
                          if tr != balance_transaction1]
    self.assertEquals(1, len(balance_transaction_list))
    balance_transaction2 = balance_transaction_list[0]
    
    self.assertEquals(DateTime(2008, 1, 1),
                      balance_transaction2.getStartDate())
    # this should create a balance with 3 lines,
    #   equity          = 100 D
    #   payable/client1 =       100 + 300 C
    #   pl              = 300 D    
    movement_list = balance_transaction2.getMovementList()
    self.assertEquals(3, len(movement_list))

    equity_movement_list = [m for m in movement_list
          if m.getDestinationValue() == self.account_module.equity]
    self.assertEquals(1, len(equity_movement_list))
    equity_movement = equity_movement_list[0]
    self.assertEquals(100., equity_movement.getDestinationDebit())
    
    payable_movement_list = [m for m in movement_list
          if m.getDestinationValue() == self.account_module.payable]
    self.assertEquals(1, len(payable_movement_list))
    payable_movement = payable_movement_list[0]
    self.assertEquals(400., payable_movement.getDestinationCredit())
    
    pl_movement_list = [m for m in movement_list
          if m.getDestinationValue() == pl_account]
    self.assertEquals(1, len(pl_movement_list))
    pl_movement = pl_movement_list[0]
    self.assertEquals(300., pl_movement.getDestinationDebit())


  def test_ProfitAndLossUsedInPeriod(self):
    """When the profit and loss account has a non zero balance at the end of
    the period, AccountingPeriod_createBalanceTransaction script should add
    this balance and the new calculated profit and loss to have only one line.
    """
    period = self.section.newContent(portal_type='Accounting Period')
    period.setStartDate(DateTime(2006, 1, 1))
1602
    period.setStopDate(DateTime(2006, 12, 31))
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    pl_account = self.portal.account_module.newContent(
                    portal_type='Account',
                    account_type='equity',
                    gap='my_country/my_accounting_standards/1',
                    title='Profit & Loss')
    pl_account.validate()

    transaction1 = self._makeOne(
        start_date=DateTime(2006, 1, 1),
        portal_type='Accounting Transaction',
        simulation_state='delivered',
        lines=(dict(source_value=self.account_module.goods_purchase,
                    source_debit=400),
               dict(source_value=pl_account,
                    source_debit=100),
               dict(source_value=self.account_module.stocks,
                    source_credit=500)))

    period.AccountingPeriod_createBalanceTransaction(
                  profit_and_loss_account=pl_account.getRelativeUrl())
    
    balance_transaction_list = self.accounting_module.contentValues(
                              portal_type='Balance Transaction')
    self.assertEquals(1, len(balance_transaction_list))
    balance_transaction = balance_transaction_list[0]
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    balance_transaction.alternateReindexObject()
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    movement_list = balance_transaction.getMovementList()
    self.assertEquals(2, len(movement_list))

    pl_movement_list = [m for m in movement_list
                      if m.getDestinationValue() == pl_account]
    self.assertEquals(1, len(pl_movement_list))
    self.assertEquals(500, pl_movement_list[0].getDestinationDebit())
    
    stock_movement_list = [m for m in movement_list
          if m.getDestinationValue() == self.account_module.stocks]
    self.assertEquals(1, len(stock_movement_list))
    self.assertEquals(500, stock_movement_list[0].getDestinationCredit())
    

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  def test_InventoryIndexingNodeAndMirrorSection(self):
    # Balance Transactions are indexed as Inventories.
    transaction1 = self._makeOne(
        start_date=DateTime(2006, 1, 1),
        portal_type='Sale Invoice Transaction',
        destination_section_value=self.organisation_module.client_1,
        simulation_state='delivered',
        lines=(dict(source_value=self.account_module.receivable,
                    source_debit=100),
               dict(source_value=self.account_module.goods_sales,
                    source_credit=100)))

    balance = self.accounting_module.newContent(
                          portal_type='Balance Transaction',
                          destination_section_value=self.section,
                          start_date=DateTime(2006, 12, 31),
                          resource_value=self.currency_module.euro,)
    balance.newContent(
                portal_type='Balance Transaction Line',
                destination_value=self.account_module.receivable,
                source_section_value=self.organisation_module.client_1,
                destination_debit=100,)
    balance.newContent(
                portal_type='Balance Transaction Line',
                destination_value=self.account_module.stocks,
                destination_credit=100,)
    balance.stop()
    balance.deliver()
    balance.immediateReindexObject()

    # now check inventory
    stool = self.getSimulationTool()
    # the account 'receivable' has a balance of 100
    node_uid = self.account_module.receivable.getUid()
    self.assertEquals(100, stool.getInventory(
                              section_uid=self.section.getUid(),
                              node_uid=node_uid))
    self.assertEquals(100, stool.getInventory(
                    section_uid=self.section.getUid(),
                    mirror_section_uid=self.organisation_module.client_1.getUid(),
                    node_uid=node_uid))
    self.assertEquals(100, stool.getInventoryAssetPrice(
                    section_uid=self.section.getUid(),
                    node_uid=node_uid))
    # and only one movement is returned by getMovementHistoryList
    self.assertEquals(1, len(stool.getMovementHistoryList(
                    section_uid=self.section.getUid(),
                    node_uid=node_uid)))
    
    # the account 'goods_sales' has a balance of -100
    node_uid = self.account_module.goods_sales.getUid()
    self.assertEquals(-100, stool.getInventory(
                              section_uid=self.section.getUid(),
                              node_uid=node_uid))

    # the account 'stocks' has a balance of -100
    node_uid = self.account_module.stocks.getUid()
    self.assertEquals(-100, stool.getInventory(
                              section_uid=self.section.getUid(),
                              node_uid=node_uid))

  def test_InventoryIndexingNodeDiffOnNode(self):
    # Balance Transactions are indexed as Inventories.
    transaction1 = self._makeOne(
        start_date=DateTime(2006, 1, 1),
        portal_type='Accounting Transaction',
        simulation_state='delivered',
        lines=(dict(source_value=self.account_module.receivable,
                    source_debit=100),
               dict(source_value=self.account_module.stocks,
                    source_credit=100)))

    balance = self.accounting_module.newContent(
                          portal_type='Balance Transaction',
                          destination_section_value=self.section,
                          start_date=DateTime(2006, 12, 31),
                          resource_value=self.currency_module.euro,)
    balance.newContent(
                portal_type='Balance Transaction Line',
                destination_value=self.account_module.receivable,
                destination_debit=150,)
    balance.newContent(
                portal_type='Balance Transaction Line',
                destination_value=self.account_module.stocks,
                destination_credit=90,)
    balance.stop()
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    transaction.commit()
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    self.tic()
    
    stool = self.portal.portal_simulation
    # the account 'receivable' has a balance of 150
    node_uid = self.account_module.receivable.getUid()
    self.assertEquals(150, stool.getInventory(
                              section_uid=self.section.getUid(),
                              node_uid=node_uid))
    # movement history list shows 2 movements, the initial with qty 100, and
    # the balance with quantity 50

    # the account 'stocks' has a balance of -100
    node_uid = self.account_module.stocks.getUid()
    self.assertEquals(-90, stool.getInventory(
                              section_uid=self.section.getUid(),
                              node_uid=node_uid))
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  def test_IndexingBalanceTransactionLinesWithSameNodes(self):
    # Indexes balance transaction without any previous inventory.
    # This make sure that indexing two balance transaction lines with same
    # categories does not try to insert duplicate keys in category table.
    balance = self.accounting_module.newContent(
                          portal_type='Balance Transaction',
                          destination_section_value=self.section,
                          start_date=DateTime(2006, 12, 31),
                          resource_value=self.currency_module.euro,)
    balance.newContent(
                portal_type='Balance Transaction Line',
                source_section_value=self.organisation_module.client_1,
                destination_value=self.account_module.receivable,
                destination_debit=150,)
    balance.newContent(
                portal_type='Balance Transaction Line',
                source_section_value=self.organisation_module.client_2,
                destination_value=self.account_module.receivable,
                destination_debit=30,)

    balance.stop()
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    transaction.commit()
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    self.tic()
    
    stool = self.portal.portal_simulation
    # the account 'receivable' has a balance of 150 + 30
    node_uid = self.account_module.receivable.getUid()
    self.assertEquals(180, stool.getInventory(
                              section_uid=self.section.getUid(),
                              node_uid=node_uid))
    self.assertEquals(150, stool.getInventory(
                              section_uid=self.section.getUid(),
                              mirror_section_uid=self.organisation_module\
                                                    .client_1.getUid(),
                              node_uid=node_uid))
    self.assertEquals(30, stool.getInventory(
                              section_uid=self.section.getUid(),
                              mirror_section_uid=self.organisation_module\
                                                    .client_2.getUid(),
                              node_uid=node_uid))
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1789 1790 1791 1792 1793 1794 1795 1796 1797 1798 1799 1800 1801 1802 1803 1804
  def test_BalanceTransactionLineBrainGetObject(self):
    # Balance Transaction Line can be retrieved using Brain.getObject
    balance = self.accounting_module.newContent(
                          portal_type='Balance Transaction',
                          destination_section_value=self.section,
                          start_date=DateTime(2006, 12, 31),
                          resource_value=self.currency_module.euro,)
    balance_line = balance.newContent(
                portal_type='Balance Transaction Line',
                destination_value=self.account_module.receivable,
                destination_debit=100,)
    balance_line2 = balance.newContent(
                portal_type='Balance Transaction Line',
                destination_value=self.account_module.payable,
                destination_credit=100,)
    balance.stop()
1805
    transaction.commit()
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    self.tic()
    
    stool = self.portal.portal_simulation
    # the account 'receivable' has a balance of 100
    node_uid = self.account_module.receivable.getUid()
    self.assertEquals(100, stool.getInventory(
                              section_uid=self.section.getUid(),
                              node_uid=node_uid))
    # there is one line in getMovementHistoryList:
    mvt_history_list = stool.getMovementHistoryList(
                              section_uid=self.section.getUid(),
                              node_uid=node_uid)
    self.assertEquals(1, len(mvt_history_list))
    self.assertEquals(mvt_history_list[0].getObject(),
                      balance_line)

    # There is also one line on payable account
    node_uid = self.account_module.payable.getUid()
    mvt_history_list = stool.getMovementHistoryList(
                              section_uid=self.section.getUid(),
                              node_uid=node_uid)
    self.assertEquals(1, len(mvt_history_list))
    self.assertEquals(mvt_history_list[0].getObject(),
                      balance_line2)

1831

1832 1833
  def test_BalanceTransactionDate(self):
    # check that dates are correctly used for Balance Transaction indexing
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    organisation_module = self.organisation_module

    transaction1 = self._makeOne(
        start_date=DateTime(2006, 12, 31),
        destination_section_value=organisation_module.client_1,
        portal_type='Sale Invoice Transaction',
        simulation_state='delivered',
        lines=(dict(source_value=self.account_module.goods_sales,
                    source_debit=100),
               dict(source_value=self.account_module.receivable,
                    source_credit=100)))

    balance = self.accounting_module.newContent(
                          portal_type='Balance Transaction',
                          destination_section_value=self.section,
                          start_date=DateTime(2007, 1, 1),
                          resource_value=self.currency_module.euro,)
    balance_line = balance.newContent(
                portal_type='Balance Transaction Line',
                destination_value=self.account_module.equity,
                destination_debit=100,)
    balance_line = balance.newContent(
                portal_type='Balance Transaction Line',
                source_section_value=organisation_module.client_1,
                destination_value=self.account_module.receivable,
                destination_credit=100,)
    balance.stop()
    balance.deliver()
1862
    transaction.commit()
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    self.tic()

    stool = self.portal.portal_simulation
    # the account 'receivable' has a balance of -100
    node_uid = self.account_module.receivable.getUid()
    self.assertEquals(-100, stool.getInventory(
                              section_uid=self.section.getUid(),
                              node_uid=node_uid))
    self.assertEquals(1, len(stool.getMovementHistoryList(
                              section_uid=self.section.getUid(),
                              node_uid=node_uid)))

    # this is a transaction with the same date as the balance transaction, but
    # this transaction should not be taken into account when we reindex the
    # Balance Transaction.
    transaction2 = self._makeOne(
        start_date=DateTime(2007, 1, 1),
        destination_section_value=organisation_module.client_1,
        portal_type='Sale Invoice Transaction',
        simulation_state='delivered',
        lines=(dict(source_value=self.account_module.goods_sales,
                    source_debit=50),
               dict(source_value=self.account_module.receivable,
                    source_credit=50)))
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    transaction.commit()
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    self.tic()
    # let's try to reindex and check if values are still OK
    balance.reindexObject()
1891
    transaction.commit()
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    self.tic()
    
    self.assertEquals(-150, stool.getInventory(
                              section_uid=self.section.getUid(),
                              node_uid=node_uid))
    self.assertEquals(2, len(stool.getMovementHistoryList(
                              section_uid=self.section.getUid(),
                              node_uid=node_uid)))


  def test_BalanceTransactionDateInInventoryAPI(self):
    # check that dates are correctly used for Balance Transaction when making
    # reports using inventory API
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    balance = self.accounting_module.newContent(
                          portal_type='Balance Transaction',
                          destination_section_value=self.section,
                          start_date=DateTime(2006, 12, 31),
                          resource_value=self.currency_module.euro,)
    balance_line = balance.newContent(
                portal_type='Balance Transaction Line',
                destination_value=self.account_module.receivable,
                destination_debit=100,)
    balance.stop()
1915
    transaction.commit()
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    self.tic()
    
    stool = self.portal.portal_simulation
    # the account 'receivable' has a balance of 100 after 2006/12/31
    node_uid = self.account_module.receivable.getUid()
    self.assertEquals(100, stool.getInventory(
                              at_date=DateTime(2006, 12, 31),
                              section_uid=self.section.getUid(),
                              node_uid=node_uid))
    self.assertEquals(1, len(stool.getMovementHistoryList(
                              at_date=DateTime(2006, 12, 31),
                              section_uid=self.section.getUid(),
                              node_uid=node_uid)))
    # and 0 before
    self.assertEquals(0, stool.getInventory(
                              at_date=DateTime(2005, 12, 31),
                              section_uid=self.section.getUid(),
                              node_uid=node_uid))
    self.assertEquals(0, len(stool.getMovementHistoryList(
                              at_date=DateTime(2005, 12, 31),
                              section_uid=self.section.getUid(),
                              node_uid=node_uid)))


  def test_BalanceTransactionLineInventoryAPIParentPortalType(self):
    # related keys like parent_portal_type= can be used in inventory API to get
    # balance transaction lines
    balance = self.accounting_module.newContent(
                          portal_type='Balance Transaction',
                          destination_section_value=self.section,
                          start_date=DateTime(2006, 12, 31),
                          resource_value=self.currency_module.euro,)
    balance_line = balance.newContent(
                portal_type='Balance Transaction Line',
                destination_value=self.account_module.receivable,
                destination_debit=100,)
    balance.stop()
1953
    transaction.commit()
1954 1955 1956 1957 1958 1959 1960 1961 1962 1963 1964 1965 1966 1967 1968
    self.tic()
    
    stool = self.portal.portal_simulation
    # the account 'receivable' has a balance of 100
    node_uid = self.account_module.receivable.getUid()
    self.assertEquals(100, stool.getInventory(
                              parent_portal_type='Balance Transaction',
                              section_uid=self.section.getUid(),
                              node_uid=node_uid))
    # there is one line in getMovementHistoryList:
    mvt_history_list = stool.getMovementHistoryList(
                              parent_portal_type='Balance Transaction',
                              section_uid=self.section.getUid(),
                              node_uid=node_uid)
    self.assertEquals(1, len(mvt_history_list))
1969

1970
  # TODO : test deletion ?
1971

1972 1973 1974 1975 1976 1977

class TestAccountingExport(AccountingTestCase):
  """Test accounting export features with erp5_ods_style.
  """
  def test_export_transaction(self):
    # test we can export an accounting transaction as ODS
1978
    accounting_transaction = self._makeOne(lines=(
1979 1980
              dict(source_value=self.account_module.payable,
                   quantity=200),))
1981
    ods_data = accounting_transaction.Base_viewAsODS(
1982 1983 1984 1985 1986 1987 1988 1989 1990 1991 1992 1993 1994 1995 1996
                    form_id='AccountingTransaction_view')
    from Products.ERP5OOo.OOoUtils import OOoParser
    parser = OOoParser()
    parser.openFromString(ods_data)
    content_xml = parser.oo_files['content.xml']
    # just make sure that we have the correct account name
    self.assertEquals(
        '40 - Payable',
        self.account_module.payable.Account_getFormattedTitle())
    # check that this account name can be found in the content
    self.assertTrue('40 - Payable' in content_xml)
    # check that we don't have unknown categories
    self.assertFalse('???' in content_xml)


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class TestTransactions(AccountingTestCase):
  """Test behaviours and utility scripts for Accounting Transactions.
  """
2000 2001 2002 2003 2004 2005 2006 2007 2008
  def _resetIdGenerator(self):
    # clear all existing ids in portal ids
    if hasattr(self.portal.portal_ids, 'dict_ids'):
      self.portal.portal_ids.dict_ids.clear()
    if hasattr(self.portal.portal_ids, 'dict_length_ids'):
      self.portal.portal_ids.dict_length_ids.clear()
      self.portal.erp5_sql_transactionless_connection.manage_test(
        """DELETE FROM portal_ids WHERE id_group LIKE '%accounting%'""")
      self.portal.portal_catalog.getSQLCatalog().z_portal_ids_commit()
2009
  
2010 2011 2012
  def test_SourceDestinationReference(self):
    # Check that source reference and destination reference are filled
    # automatically.
2013
    self._resetIdGenerator()
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    section_period_2001 = self.section.newContent(
                        portal_type='Accounting Period',
                        short_title='code-2001',
                        start_date=DateTime(2001, 01, 01),
                        stop_date=DateTime(2001, 12, 31))
    section_period_2001.start()
    section_period_2002 = self.section.newContent(
                        portal_type='Accounting Period',
                        short_title='code-2002',
                        start_date=DateTime(2002, 01, 01),
                        stop_date=DateTime(2002, 12, 31))
    section_period_2002.start()

    accounting_transaction = self._makeOne(
              destination_section_value=self.organisation_module.client_1,
              start_date=DateTime(2001, 01, 01),
              stop_date=DateTime(2001, 01, 01))
    self.portal.portal_workflow.doActionFor(
          accounting_transaction, 'stop_action')
    # The reference generated for the source section uses the short title from
    # the accounting period
    self.assertEquals('code-2001-1', accounting_transaction.getSourceReference())
    # This works, because we use
    # 'AccountingTransaction_getAccountingPeriodForSourceSection' script
    self.assertEquals(section_period_2001, accounting_transaction\
              .AccountingTransaction_getAccountingPeriodForSourceSection())
    # If no accounting period exists on this side, the transaction date is
    # used.
    self.assertEquals('2001-1', accounting_transaction.getDestinationReference())

    other_transaction = self._makeOne(
              destination_section_value=self.organisation_module.client_2,
              start_date=DateTime(2001, 01, 01),
              stop_date=DateTime(2001, 01, 01))
    self.portal.portal_workflow.doActionFor(other_transaction, 'stop_action')
    self.assertEquals('code-2001-2', other_transaction.getSourceReference())
    self.assertEquals('2001-1', other_transaction.getDestinationReference())

    next_year_transaction = self._makeOne(
              destination_section_value=self.organisation_module.client_1,
              start_date=DateTime(2002, 01, 01),
              stop_date=DateTime(2002, 01, 01))
    self.portal.portal_workflow.doActionFor(next_year_transaction, 'stop_action')
    self.assertEquals('code-2002-1', next_year_transaction.getSourceReference())
    self.assertEquals('2002-1', next_year_transaction.getDestinationReference())

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  def test_SourceDestinationReferenceGroupAccounting(self):
    # Check that source reference and destination reference are filled
    # automatically when using multiple sections
    self._resetIdGenerator()
    section_period_2001 = self.main_section.newContent(
                        portal_type='Accounting Period',
                        short_title='code-2001',
                        start_date=DateTime(2001, 01, 01),
                        stop_date=DateTime(2001, 12, 31))
    section_period_2001.start()
    section_period_2002 = self.main_section.newContent(
                        portal_type='Accounting Period',
                        short_title='code-2002',
                        start_date=DateTime(2002, 01, 01),
                        stop_date=DateTime(2002, 12, 31))
    section_period_2002.start()

    accounting_transaction = self._makeOne(
              source_section_value=self.main_section,
              destination_section_value=self.organisation_module.client_1,
              start_date=DateTime(2001, 01, 01),
              stop_date=DateTime(2001, 01, 01))
    self.portal.portal_workflow.doActionFor(
          accounting_transaction, 'stop_action')
    # The reference generated for the source section uses the short title from
    # the accounting period
    self.assertEquals('code-2001-1', accounting_transaction.getSourceReference())
    # This works, because we use
    # 'AccountingTransaction_getAccountingPeriodForSourceSection' script
    self.assertEquals(section_period_2001, accounting_transaction\
              .AccountingTransaction_getAccountingPeriodForSourceSection())
    # If no accounting period exists on this side, the transaction date is
    # used.
    self.assertEquals('2001-1', accounting_transaction.getDestinationReference())

    other_section_transaction = self._makeOne(
              destination_section_value=self.organisation_module.client_2,
              start_date=DateTime(2001, 01, 01),
              stop_date=DateTime(2001, 01, 01))
    self.portal.portal_workflow.doActionFor(other_section_transaction, 'stop_action')
    # The numbering is shared by all the sections
    self.assertEquals('code-2001-2', other_section_transaction.getSourceReference())
    self.assertEquals('2001-1', other_section_transaction.getDestinationReference())

2104 2105 2106
  def test_SourceDestinationReferenceSecurity(self):
    # Check that we don't need specific roles to set source reference and
    # destination reference, as long as we can pass the workflow transition
2107
    self._resetIdGenerator()
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    section_period_2001 = self.section.newContent(
                        portal_type='Accounting Period',
                        short_title='code-2001',
                        start_date=DateTime(2001, 01, 01),
                        stop_date=DateTime(2001, 12, 31))
    section_period_2001.start()

    accounting_transaction = self._makeOne(
              destination_section_value=self.organisation_module.client_1,
              start_date=DateTime(2001, 01, 01),
              stop_date=DateTime(2001, 01, 01))
    accounting_transaction.manage_permission('Modify portal content',
                                             roles=['Manager'], acquire=0)
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    self.assertFalse(_checkPermission('Modify portal content',
                                      accounting_transaction))
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    accounting_transaction.stop()
    self.assertEquals('code-2001-1', accounting_transaction.getSourceReference())

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  def test_generate_sub_accounting_periods(self):
    accounting_period_2007 = self.section.newContent(
                                portal_type='Accounting Period',
                                start_date=DateTime('2007/01/01'),
                                stop_date=DateTime('2007/12/31'),)
    accounting_period_2007.start()
    
    accounting_period_2007.AccountingPeriod_createSecondaryPeriod(
          frequency='monthly', open_periods=1)
    sub_period_list = sorted(accounting_period_2007.contentValues(),
                              key=lambda x:x.getStartDate())
    self.assertEquals(12, len(sub_period_list))
    first_period = sub_period_list[0]
    self.assertEquals(DateTime(2007, 1, 1), first_period.getStartDate())
    self.assertEquals(DateTime(2007, 1, 31), first_period.getStopDate())
    self.assertEquals('2007-01', first_period.getShortTitle())
    self.assertEquals('January', first_period.getTitle())


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  def test_SearchableText(self):
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    accounting_transaction = self._makeOne(title='A new Transaction',
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                                description="A description",
                                comment="Some comments")
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    searchable_text = accounting_transaction.SearchableText()
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    self.assertTrue('A new Transaction' in searchable_text)
    self.assertTrue('A description' in searchable_text)
    self.assertTrue('Some comments' in searchable_text)

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  def test_Organisation_getMappingRelatedOrganisation(self):
    # the main section needs an accounting period to be treated as mapping
    # related by Organisation_getMappingRelatedOrganisation
    section_period_2001 = self.main_section.newContent(
                        portal_type='Accounting Period',
                        short_title='code-2001',
                        start_date=DateTime(2001, 01, 01),
                        stop_date=DateTime(2001, 12, 31))

    self.assertEquals(self.main_section,
        self.section.Organisation_getMappingRelatedOrganisation())
    self.assertEquals(self.main_section,
        self.main_section.Organisation_getMappingRelatedOrganisation())

    client = self.organisation_module.client_1
    self.assertEquals(None, client.getGroupValue())
    self.assertEquals(client,
        client.Organisation_getMappingRelatedOrganisation())

  
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  # tests for Invoice_createRelatedPaymentTransaction
  def _checkRelatedSalePayment(self, invoice, payment, payment_node, quantity):
    """Check payment of a Sale Invoice.
    """
    eq = self.assertEquals
    eq('Payment Transaction', payment.getPortalTypeName())
    eq([invoice], payment.getCausalityValueList())
    eq(invoice.getSourceSection(), payment.getSourceSection())
    eq(invoice.getDestinationSection(), payment.getDestinationSection())
    eq(payment_node, payment.getSourcePaymentValue())
    eq(self.getCategoryTool().payment_mode.check,
       payment.getPaymentModeValue())
    # test lines
    eq(2, len(payment.getMovementList()))
    for line in payment.getMovementList():
      if line.getId() == 'bank':
        eq(quantity, line.getSourceCredit())
        eq(self.account_module.bank, line.getSourceValue())
      else:
        eq(quantity, line.getSourceDebit())
        eq(self.account_module.receivable, line.getSourceValue())
    # this transaction can be validated
    eq([], payment.checkConsistency())
    self.portal.portal_workflow.doActionFor(payment, 'stop_action')
    eq('stopped', payment.getSimulationState())

  def test_Invoice_createRelatedPaymentTransactionSimple(self):
    # Simple case of creating a related payment transaction.
    payment_node = self.section.newContent(portal_type='Bank Account')
    invoice = self._makeOne(
               destination_section_value=self.organisation_module.client_1,
               lines=(dict(source_value=self.account_module.goods_purchase,
                           source_debit=100),
                      dict(source_value=self.account_module.receivable,
                           source_credit=100)))
    payment = invoice.Invoice_createRelatedPaymentTransaction(
                                  node=self.account_module.bank.getRelativeUrl(),
                                  payment=payment_node.getRelativeUrl(),
                                  payment_mode='check',
                                  batch_mode=1)
    self._checkRelatedSalePayment(invoice, payment, payment_node, 100)

  def test_Invoice_createRelatedPaymentTransactionGroupedLines(self):
    # Simple creating a related payment transaction when grouping reference of
    # some lines is already set.
    payment_node = self.section.newContent(portal_type='Bank Account')
    invoice = self._makeOne(
               destination_section_value=self.organisation_module.client_1,
               lines=(dict(source_value=self.account_module.goods_purchase,
                           source_debit=100),
                      dict(source_value=self.account_module.receivable,
                           source_credit=60),
                      dict(source_value=self.account_module.receivable,
                           source_credit=40,
                           grouping_reference='A'),))
    
    payment = invoice.Invoice_createRelatedPaymentTransaction(
                                  node=self.account_module.bank.getRelativeUrl(),
                                  payment=payment_node.getRelativeUrl(),
                                  payment_mode='check',
                                  batch_mode=1)
    self._checkRelatedSalePayment(invoice, payment, payment_node, 60)
  
  def test_Invoice_createRelatedPaymentTransactionDifferentSection(self):
    # Simple creating a related payment transaction when we have two line for
    # 2 different destination sections.
    payment_node = self.section.newContent(portal_type='Bank Account')
    invoice = self._makeOne(
               destination_section_value=self.organisation_module.client_1,
               lines=(dict(source_value=self.account_module.goods_purchase,
                           source_debit=100),
                      dict(source_value=self.account_module.receivable,
                           source_credit=60),
                      dict(source_value=self.account_module.receivable,
                           source_credit=40,
                           destination_section_value=self.organisation_module.client_2),))
    
    payment = invoice.Invoice_createRelatedPaymentTransaction(
                                  node=self.account_module.bank.getRelativeUrl(),
                                  payment=payment_node.getRelativeUrl(),
                                  payment_mode='check',
                                  batch_mode=1)
    self._checkRelatedSalePayment(invoice, payment, payment_node, 60)
 
  def test_Invoice_createRelatedPaymentTransactionRelatedInvoice(self):
    # Simple creating a related payment transaction when we have related
    # transactions.
    payment_node = self.section.newContent(portal_type='Bank Account')
    invoice = self._makeOne(
               destination_section_value=self.organisation_module.client_1,
               lines=(dict(source_value=self.account_module.goods_purchase,
                           source_debit=100),
                      dict(source_value=self.account_module.receivable,
                           source_credit=100),))
    accounting_transaction = self._makeOne(
               destination_section_value=self.organisation_module.client_1,
               causality_value=invoice,
               lines=(dict(source_value=self.account_module.goods_purchase,
                           source_credit=20),
                      dict(source_value=self.account_module.receivable,
                           source_debit=20),))

    accounting_transaction.setCausalityValue(invoice)
    self.portal.portal_workflow.doActionFor(accounting_transaction,
                                           'stop_action')
    self.assertEquals('stopped', accounting_transaction.getSimulationState())
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    transaction.commit()
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    self.tic()
    
    payment = invoice.Invoice_createRelatedPaymentTransaction(
                                  node=self.account_module.bank.getRelativeUrl(),
                                  payment=payment_node.getRelativeUrl(),
                                  payment_mode='check',
                                  batch_mode=1)
    self._checkRelatedSalePayment(invoice, payment, payment_node, 80)
    
  def test_Invoice_createRelatedPaymentTransactionRelatedInvoiceDifferentSide(self):
    # Simple creating a related payment transaction when we have related
    # transactions with different side
    payment_node = self.section.newContent(portal_type='Bank Account')
    invoice = self._makeOne(
               destination_section_value=self.organisation_module.client_1,
               lines=(dict(source_value=self.account_module.goods_purchase,
                           source_debit=100),
                      dict(source_value=self.account_module.receivable,
                           source_credit=100),))
    accounting_transaction = self._makeOne(
               source_section_value=self.organisation_module.client_1,
               destination_section_value=self.section,
               causality_value=invoice,
               lines=(dict(destination_value=self.account_module.goods_purchase,
                           destination_credit=20),
                      dict(destination_value=self.account_module.receivable,
                           destination_debit=20),))
    self.portal.portal_workflow.doActionFor(accounting_transaction,
                                            'stop_action')
    self.assertEquals('stopped', accounting_transaction.getSimulationState())
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    transaction.commit()
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    self.tic()

    payment = invoice.Invoice_createRelatedPaymentTransaction(
                                  node=self.account_module.bank.getRelativeUrl(),
                                  payment=payment_node.getRelativeUrl(),
                                  payment_mode='check',
                                  batch_mode=1)
    self._checkRelatedSalePayment(invoice, payment, payment_node, 80)
 
  def test_Invoice_createRelatedPaymentTransactionRelatedInvoiceDraft(self):
    # Simple creating a related payment transaction when we have related
    # transactions in draft/cancelled state (they are ignored)
    payment_node = self.section.newContent(portal_type='Bank Account')
    invoice = self._makeOne(
               destination_section_value=self.organisation_module.client_1,
               lines=(dict(source_value=self.account_module.goods_purchase,
                           source_debit=100),
                      dict(source_value=self.account_module.receivable,
                           source_credit=100),))
    accounting_transaction = self._makeOne(
               destination_section_value=self.organisation_module.client_1,
               causality_value=invoice,
               lines=(dict(source_value=self.account_module.goods_purchase,
                           source_credit=20),
                      dict(source_value=self.account_module.receivable,
                           source_debit=20),))

    other_accounting_transaction = self._makeOne(
               destination_section_value=self.organisation_module.client_1,
               causality_value=invoice,
               lines=(dict(source_value=self.account_module.goods_purchase,
                           source_credit=20),
                      dict(source_value=self.account_module.receivable,
                           source_debit=20),))

    other_accounting_transaction.cancel()
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    transaction.commit()
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    self.tic()

    payment = invoice.Invoice_createRelatedPaymentTransaction(
                                  node=self.account_module.bank.getRelativeUrl(),
                                  payment=payment_node.getRelativeUrl(),
                                  payment_mode='check',
                                  batch_mode=1)
    self._checkRelatedSalePayment(invoice, payment, payment_node, 100)

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  # tests for Grouping References
  def test_GroupingReferenceResetedOnCopyPaste(self):
    accounting_module = self.portal.accounting_module
    for portal_type in self.portal.getPortalAccountingTransactionTypeList():
      if portal_type == 'Balance Transaction':
        # Balance Transaction cannot be copy and pasted, because they are not
        # in visible allowed types.
        continue
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      accounting_transaction = accounting_module.newContent(
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                            portal_type=portal_type)
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      line = accounting_transaction.newContent(
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                  id = 'line_with_grouping_reference',
                  grouping_reference='A',
                  portal_type=transaction_to_line_mapping[portal_type])

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      cp = accounting_module.manage_copyObjects(ids=[accounting_transaction.getId()])
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      copy_id = accounting_module.manage_pasteObjects(cp)[0]['new_id']
      self.failIf(accounting_module[copy_id]\
          .line_with_grouping_reference.getGroupingReference())

  def test_AccountingTransaction_lineResetGroupingReference(self):
    invoice = self._makeOne(
               title='First Invoice',
               destination_section_value=self.organisation_module.client_1,
               lines=(dict(source_value=self.account_module.goods_purchase,
                           source_debit=100),
                      dict(source_value=self.account_module.receivable,
                           source_credit=100,
                           id='line_with_grouping_reference',
                           grouping_reference='A'),))
    invoice_line = invoice.line_with_grouping_reference

    other_account_invoice = self._makeOne(
               title='Other Account Invoice',
               destination_section_value=self.organisation_module.client_1,
               lines=(dict(source_value=self.account_module.goods_purchase,
                           source_debit=100),
                      dict(source_value=self.account_module.goods_sales,
                           source_credit=100,
                           id='line_with_grouping_reference',
                           grouping_reference='A'),))
    other_account_line = other_account_invoice.line_with_grouping_reference
    
    other_section_invoice = self._makeOne(
               title='Other Section Invoice',
               destination_section_value=self.organisation_module.client_2,
               lines=(dict(source_value=self.account_module.goods_purchase,
                           source_debit=100),
                      dict(source_value=self.account_module.receivable,
                           source_credit=100,
                           id='line_with_grouping_reference',
                           grouping_reference='A'),))
    other_section_line = other_section_invoice.line_with_grouping_reference

    other_letter_invoice = self._makeOne(
               title='Other letter Invoice',
               destination_section_value=self.organisation_module.client_1,
               lines=(dict(source_value=self.account_module.goods_purchase,
                           source_debit=100),
                      dict(source_value=self.account_module.receivable,
                           source_credit=100,
                           id='line_with_grouping_reference',
                           grouping_reference='B'),))
    other_letter_line = other_letter_invoice.line_with_grouping_reference

    payment = self._makeOne(
               title='First Invoice Payment',
               portal_type='Payment Transaction',
               source_payment_value=self.section.newContent(
                                            portal_type='Bank Account'),
               destination_section_value=self.organisation_module.client_1,
               lines=(dict(source_value=self.account_module.receivable,
                           id='line_with_grouping_reference',
                           grouping_reference='A',
                           source_debit=100),
                      dict(source_value=self.account_module.bank,
                           source_credit=100,)))
    payment_line = payment.line_with_grouping_reference
    
    # reset from the payment line, the invoice line from the same group will be
    # ungrouped
    payment_line.AccountingTransactionLine_resetGroupingReference()
    self.failIf(payment_line.getGroupingReference())
    self.failIf(invoice_line.getGroupingReference())

    # other lines are not touched:
    self.failUnless(other_account_line.getGroupingReference())
    self.failUnless(other_section_line.getGroupingReference())
    self.failUnless(other_letter_line.getGroupingReference())

2449
  def test_automatically_setting_grouping_reference(self):
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    invoice = self._makeOne(
               title='First Invoice',
               destination_section_value=self.organisation_module.client_1,
               lines=(dict(source_value=self.account_module.goods_purchase,
                           source_debit=100),
                      dict(source_value=self.account_module.receivable,
                           source_credit=100,
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                           id='line_for_grouping_reference',)))
    invoice_line = invoice.line_for_grouping_reference
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    payment = self._makeOne(
               title='First Invoice Payment',
               portal_type='Payment Transaction',
               simulation_state='delivered',
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               causality_value=invoice,
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               source_payment_value=self.section.newContent(
                                            portal_type='Bank Account'),
               destination_section_value=self.organisation_module.client_1,
               lines=(dict(source_value=self.account_module.receivable,
2469
                           id='line_for_grouping_reference',
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                           source_debit=100),
                      dict(source_value=self.account_module.bank,
                           source_credit=100,)))
2473
    payment_line = payment.line_for_grouping_reference
2474
    
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    self.failIf(invoice_line.getGroupingReference())
    self.failIf(payment_line.getGroupingReference())
    
    # lines match, they are automatically grouped
    invoice.stop()
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    self.failUnless(invoice_line.getGroupingReference())
    self.failUnless(payment_line.getGroupingReference())
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    # when restarting, grouping is removed
    invoice.restart()
    transaction.commit()
    self.tic()
    self.failIf(invoice_line.getGroupingReference())
    self.failIf(payment_line.getGroupingReference())
    invoice.stop()
    self.failUnless(invoice_line.getGroupingReference())
    self.failUnless(payment_line.getGroupingReference())

  def test_automatically_setting_grouping_reference_same_group(self):
    # invoice is for section, payment is for main_section

    # the main section needs an accounting period to be treated as mapping
    # related by Organisation_getMappingRelatedOrganisation
    section_period_2001 = self.main_section.newContent(
                        portal_type='Accounting Period',
                        short_title='code-2001',
                        start_date=DateTime(2001, 01, 01),
                        stop_date=DateTime(2001, 12, 31))

    invoice = self._makeOne(
               title='First Invoice',
               destination_section_value=self.organisation_module.client_1,
               lines=(dict(source_value=self.account_module.goods_purchase,
                           source_debit=100),
                      dict(source_value=self.account_module.receivable,
                           source_credit=100,
                           id='line_for_grouping_reference',)))
    invoice_line = invoice.line_for_grouping_reference

    payment = self._makeOne(
               title='First Invoice Payment',
               portal_type='Payment Transaction',
               simulation_state='delivered',
               causality_value=invoice,
               source_section_value=self.main_section,
               source_payment_value=self.main_section.newContent(
                                            portal_type='Bank Account'),
               destination_section_value=self.organisation_module.client_1,
               lines=(dict(source_value=self.account_module.receivable,
                           id='line_for_grouping_reference',
                           source_debit=100),
                      dict(source_value=self.account_module.bank,
                           source_credit=100,)))
    payment_line = payment.line_for_grouping_reference
    
    self.failIf(invoice_line.getGroupingReference())
    self.failIf(payment_line.getGroupingReference())
    
    # lines match, they are automatically grouped
    invoice.stop()
    self.failUnless(invoice_line.getGroupingReference())
    self.failUnless(payment_line.getGroupingReference())
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    # when restarting, grouping is removed
    invoice.restart()
2540
    transaction.commit()
2541
    self.tic()
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    self.failIf(invoice_line.getGroupingReference())
    self.failIf(payment_line.getGroupingReference())
    invoice.stop()
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    self.failUnless(invoice_line.getGroupingReference())
    self.failUnless(payment_line.getGroupingReference())
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  def test_automatically_setting_grouping_reference_only_related(self):
    invoice = self._makeOne(
               title='First Invoice',
               destination_section_value=self.organisation_module.client_1,
               lines=(dict(source_value=self.account_module.goods_purchase,
                           source_debit=100),
                      dict(source_value=self.account_module.receivable,
                           source_credit=100,
                           id='line_for_grouping_reference',)))
    invoice_line = invoice.line_for_grouping_reference

    payment = self._makeOne(
               title='First Invoice Payment',
               portal_type='Payment Transaction',
               simulation_state='delivered',
               # payment is not related with invoice, so no automatic grouping
               # will occur
               source_payment_value=self.section.newContent(
                                            portal_type='Bank Account'),
               destination_section_value=self.organisation_module.client_1,
               lines=(dict(source_value=self.account_module.receivable,
                           id='line_for_grouping_reference',
                           source_debit=100),
                      dict(source_value=self.account_module.bank,
                           source_credit=100,)))
    payment_line = payment.line_for_grouping_reference
2574 2575 2576
    
    self.failIf(invoice_line.getGroupingReference())
    self.failIf(payment_line.getGroupingReference())
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    invoice.stop()
    self.failIf(invoice_line.getGroupingReference())
    self.failIf(payment_line.getGroupingReference())

  def test_automatically_setting_grouping_reference_same_section(self):
    invoice = self._makeOne(
               title='First Invoice',
               destination_section_value=self.organisation_module.client_1,
               lines=(dict(source_value=self.account_module.goods_purchase,
                           source_debit=100),
                      dict(source_value=self.account_module.receivable,
                           source_credit=100,
                           id='line_for_grouping_reference',)))
    invoice_line = invoice.line_for_grouping_reference
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    payment = self._makeOne(
               title='First Invoice Payment',
               portal_type='Payment Transaction',
               simulation_state='delivered',
               causality_value=invoice,
               source_payment_value=self.section.newContent(
                                            portal_type='Bank Account'),
               destination_section_value=self.organisation_module.client_2,
               lines=(dict(source_value=self.account_module.receivable,
                           id='line_for_grouping_reference',
                           source_debit=100),
                      dict(source_value=self.account_module.bank,
                           source_credit=100,)))
    payment_line = payment.line_for_grouping_reference
    
    self.failIf(invoice_line.getGroupingReference())
    self.failIf(payment_line.getGroupingReference())
    
    # different sections, no grouping
    invoice.stop()
    self.failIf(invoice_line.getGroupingReference())
    self.failIf(payment_line.getGroupingReference())
2615

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  def test_automatically_unsetting_grouping_reference_when_cancelling(self):
    invoice = self._makeOne(
               title='First Invoice',
               destination_section_value=self.organisation_module.client_1,
               lines=(dict(source_value=self.account_module.goods_purchase,
                           source_debit=100),
                      dict(source_value=self.account_module.receivable,
                           source_credit=100,
                           id='line_for_grouping_reference',)))
    invoice_line = invoice.line_for_grouping_reference

    payment = self._makeOne(
               title='First Invoice Payment',
               portal_type='Payment Transaction',
               simulation_state='delivered',
               causality_value=invoice,
               source_payment_value=self.section.newContent(
                                            portal_type='Bank Account'),
               destination_section_value=self.organisation_module.client_1,
               lines=(dict(source_value=self.account_module.receivable,
                           id='line_for_grouping_reference',
                           source_debit=100),
                      dict(source_value=self.account_module.bank,
                           source_credit=100,)))
    payment_line = payment.line_for_grouping_reference

    invoice.stop()
    self.failUnless(invoice_line.getGroupingReference())
    self.failUnless(payment_line.getGroupingReference())

    invoice.cancel()
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    transaction.commit()
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    self.tic()
    self.failIf(invoice_line.getGroupingReference())
    self.failIf(payment_line.getGroupingReference())

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  def test_AccountingTransaction_getTotalDebitCredit(self):
    # source view
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    accounting_transaction = self._makeOne(
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               portal_type='Accounting Transaction',
               start_date=DateTime('2007/01/02'),
               destination_section_value=self.organisation_module.client_1,
               lines=(dict(source_value=self.account_module.payable,
                           destination_value=self.account_module.receivable,
                           source_debit=500),
                      dict(source_value=self.account_module.receivable,
                           destination_value=self.account_module.payable,
                           source_credit=400)))
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    self.assertTrue(accounting_transaction.AccountingTransaction_isSourceView())
    self.assertEquals(500, accounting_transaction.AccountingTransaction_getTotalDebit())
    self.assertEquals(400, accounting_transaction.AccountingTransaction_getTotalCredit())
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    # destination view
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    accounting_transaction = self._makeOne(
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               portal_type='Accounting Transaction',
               start_date=DateTime('2007/01/02'),
               source_section_value=self.organisation_module.client_1,
               destination_section_value=self.section,
               lines=(dict(source_value=self.account_module.payable,
                           destination_value=self.account_module.receivable,
                           destination_debit=500),
                      dict(source_value=self.account_module.receivable,
                           destination_value=self.account_module.payable,
                           destination_credit=400)))
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    self.assertFalse(accounting_transaction.AccountingTransaction_isSourceView())
    self.assertEquals(500, accounting_transaction.AccountingTransaction_getTotalDebit())
    self.assertEquals(400, accounting_transaction.AccountingTransaction_getTotalCredit())
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    # source view, with conversion on our side
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    accounting_transaction = self._makeOne(
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               portal_type='Accounting Transaction',
               start_date=DateTime('2007/01/02'),
               destination_section_value=self.organisation_module.client_1,
               lines=(dict(source_value=self.account_module.payable,
                           destination_value=self.account_module.receivable,
                           source_asset_debit=50,
                           source_debit=500),
                      dict(source_value=self.account_module.receivable,
                           destination_value=self.account_module.payable,
                           source_asset_credit=40,
                           source_credit=400)))
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    self.assertTrue(accounting_transaction.AccountingTransaction_isSourceView())
    self.assertEquals(50, accounting_transaction.AccountingTransaction_getTotalDebit())
    self.assertEquals(40, accounting_transaction.AccountingTransaction_getTotalCredit())
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    # destination view, with conversion on our side
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    accounting_transaction = self._makeOne(
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               portal_type='Accounting Transaction',
               start_date=DateTime('2007/01/02'),
               source_section_value=self.organisation_module.client_1,
               destination_section_value=self.section,
               lines=(dict(source_value=self.account_module.payable,
                           destination_value=self.account_module.receivable,
                           destination_asset_debit=50,
                           destination_debit=500),
                      dict(source_value=self.account_module.receivable,
                           destination_value=self.account_module.payable,
                           destination_asset_credit=40,
                           destination_credit=400)))
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    self.assertFalse(accounting_transaction.AccountingTransaction_isSourceView())
    self.assertEquals(50, accounting_transaction.AccountingTransaction_getTotalDebit())
    self.assertEquals(40, accounting_transaction.AccountingTransaction_getTotalCredit())
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    # source view, with conversion on other side
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    accounting_transaction = self._makeOne(
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               portal_type='Accounting Transaction',
               start_date=DateTime('2007/01/02'),
               destination_section_value=self.organisation_module.client_1,
               lines=(dict(source_value=self.account_module.payable,
                           destination_value=self.account_module.receivable,
                           destination_asset_debit=50,
                           source_debit=500),
                      dict(source_value=self.account_module.receivable,
                           destination_value=self.account_module.payable,
                           destination_asset_credit=40,
                           source_credit=400)))
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    self.assertTrue(accounting_transaction.AccountingTransaction_isSourceView())
    self.assertEquals(500, accounting_transaction.AccountingTransaction_getTotalDebit())
    self.assertEquals(400, accounting_transaction.AccountingTransaction_getTotalCredit())
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    # destination view, with conversion on other side
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    accounting_transaction = self._makeOne(
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               portal_type='Accounting Transaction',
               start_date=DateTime('2007/01/02'),
               source_section_value=self.organisation_module.client_1,
               destination_section_value=self.section,
               lines=(dict(source_value=self.account_module.payable,
                           destination_value=self.account_module.receivable,
                           source_asset_debit=50,
                           destination_debit=500),
                      dict(source_value=self.account_module.receivable,
                           destination_value=self.account_module.payable,
                           source_asset_credit=40,
                           destination_credit=400)))
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    self.assertFalse(accounting_transaction.AccountingTransaction_isSourceView())
    self.assertEquals(500, accounting_transaction.AccountingTransaction_getTotalDebit())
    self.assertEquals(400, accounting_transaction.AccountingTransaction_getTotalCredit())
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  def test_Account_getDestinationSectionItemList(self):
    organisation1 = self.portal.organisation_module.newContent(
                            portal_type='Organisation',
                            title='Organisation 1')
    organisation2 = self.portal.organisation_module.newContent(
                            portal_type='Organisation',
                            title='Organisation 2')
    self._makeOne(
              portal_type='Sale Invoice Transaction',
              simulation_state='delivered',
              destination_section_value=organisation1,
              start_date=DateTime(2006, 2, 2),
              lines=(dict(source_value=self.portal.account_module.receivable,
                          source_debit=100),
                     dict(source_value=self.portal.account_module.goods_sales,
                          source_credit=100.00)))
    self.assertEquals([('', ''),
                       ('Organisation 1 (Organisation)',
                        organisation1.getRelativeUrl())],
                       self.portal.Account_getDestinationSectionItemList())
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2775
class TestAccountingWithSequences(ERP5TypeTestCase):
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  """The first test for Accounting
  """
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  def getBusinessTemplateList(self):
    """Returns list of BT to be installed."""
    return ('erp5_base', 'erp5_pdm', 'erp5_trade', 'erp5_accounting', )

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  def getAccountingModule(self):
    return getattr(self.getPortal(), 'accounting_module',
           getattr(self.getPortal(), 'accounting', None))
  
  def getAccountModule(self) :
    return getattr(self.getPortal(), 'account_module',
           getattr(self.getPortal(), 'account', None))
  
  # XXX
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Jérome Perrin committed
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  def playSequence(self, sequence_string, quiet=1) :
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    sequence_list = SequenceList()
    sequence_list.addSequenceString(sequence_string)
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Jérome Perrin committed
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    sequence_list.play(self, quiet=quiet)
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  account_portal_type           = 'Account'
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  accounting_period_portal_type = 'Accounting Period'
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  accounting_transaction_portal_type = 'Accounting Transaction'
  accounting_transaction_line_portal_type = 'Accounting Transaction Line'
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  currency_portal_type          = 'Currency'
  organisation_portal_type      = 'Organisation'
  sale_invoice_portal_type      = 'Sale Invoice Transaction'
  sale_invoice_transaction_line_portal_type = 'Sale Invoice Transaction Line'
  purchase_invoice_portal_type      = 'Purchase Invoice Transaction'
  purchase_invoice_transaction_line_portal_type = \
                'Purchase Invoice Transaction Line'

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  start_date = DateTime(2004, 01, 01)
  stop_date  = DateTime(2004, 12, 31)

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  default_region = 'europe/west/france'

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  def getTitle(self):
    return "Accounting"
  
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  def afterSetUp(self):
    """Prepare the test."""
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    self.portal = self.getPortal()
    self.workflow_tool = self.portal.portal_workflow
    self.organisation_module = self.portal.organisation_module
    self.account_module = self.portal.account_module
    self.accounting_module = self.portal.accounting_module
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    self.createCategories()
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    self.createCurrencies()
    self.createEntities()
    self.createAccounts()
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    self.validateRules()
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    # setup preference for the vendor group
    self.pref = self.portal.portal_preferences.newContent(
         portal_type='Preference', preferred_section_category='group/vendor',
         preferred_accounting_transaction_section_category='group/vendor',
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         priority=Priority.USER )
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    self.workflow_tool.doActionFor(self.pref, 'enable_action')

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  def beforeTearDown(self):
    """Cleanup for next test.
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    """
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    transaction.abort()
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    for folder in (self.accounting_module, self.portal.portal_simulation):
      folder.manage_delObjects([i for i in folder.objectIds()])
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    # Some tests commits transaction, some other does not, so accounts and
    # organisations created in this tests will not always be present at this
    # point
    folder = self.portal.account_module
    for account in self.account_list:
      if account.getId() in folder.objectIds():
        folder.manage_delObjects([account.getId()])
    folder = self.portal.organisation_module
    for entity in (self.client, self.vendor, self.other_vendor):
      if entity.getId() in folder.objectIds():
        folder.manage_delObjects([entity.getId()])

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    transaction.commit()
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    self.tic()
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  def createCategories(self):
    """Create the categories for our test. """
    # create categories
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    for cat_string in self.getNeededCategoryList():
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      base_cat = cat_string.split("/")[0]
      path = self.getPortal().portal_categories[base_cat]
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      for cat in cat_string.split("/")[1:]:
        if not cat in path.objectIds():
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          path = path.newContent(
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            portal_type='Category',
            id=cat,
            immediate_reindex=1)
        else:
          path = path[cat]
          
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    # check categories have been created
    for cat_string in self.getNeededCategoryList() :
      self.assertNotEquals(None,
                self.getCategoryTool().restrictedTraverse(cat_string),
                cat_string)
                
  def getNeededCategoryList(self):
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    """Returns a list of categories that should be created."""
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    return ('group/client', 'group/vendor/sub1', 'group/vendor/sub2',
2884
            'payment_mode/check', 'region/%s' % self.default_region, )
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  def createEntities(self):
    """Create entities. """
    self.client = self.getOrganisationModule().newContent(
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        title = 'Client',
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        portal_type = self.organisation_portal_type,
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        group = "client",
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        price_currency = "currency_module/USD")
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    self.section = self.vendor = self.getOrganisationModule().newContent(
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        title = 'Vendor',
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        portal_type = self.organisation_portal_type,
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        group = "vendor/sub1",
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        price_currency = "currency_module/EUR")
    self.other_vendor = self.getOrganisationModule().newContent(
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        title = 'Other Vendor',
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        portal_type = self.organisation_portal_type,
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        group = "vendor/sub2",
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        price_currency = "currency_module/EUR")
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    # validate entities
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    for entity in (self.client, self.vendor, self.other_vendor):
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      entity.setRegion(self.default_region)
      self.getWorkflowTool().doActionFor(entity, 'validate_action')
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    transaction.commit()
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    self.tic()
2909
    
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  def stepCreateEntities(self, sequence, **kw) :
    """Create entities. """
    # TODO: remove this method
    sequence.edit( client=self.client,
                   vendor=self.vendor,
                   other_vendor=self.other_vendor,
                   organisation=self.vendor )
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  def stepCreateAccountingPeriod(self, sequence, **kw):
    """Creates an Accounting Period for the Organisation."""
    organisation = sequence.get('organisation')
    start_date = self.start_date
    stop_date = self.stop_date
    accounting_period = organisation.newContent(
      portal_type = self.accounting_period_portal_type,
      start_date = start_date, stop_date = stop_date )
    sequence.edit( accounting_period = accounting_period,
                   valid_date_list = [ start_date, start_date+1, stop_date],
                   invalid_date_list = [start_date-1, stop_date+1] )
2929
    
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  def stepUseValidDates(self, sequence, **kw):
    """Puts some valid dates in sequence."""
    sequence.edit(date_list = sequence.get('valid_date_list'))
    
  def stepUseInvalidDates(self, sequence, **kw):
    """Puts some invalid dates in sequence."""
    sequence.edit(date_list = sequence.get('invalid_date_list'))
  
  def stepOpenAccountingPeriod(self, sequence, **kw):
    """Opens the Accounting Period."""
    accounting_period = sequence.get('accounting_period')
    self.getPortal().portal_workflow.doActionFor(
                        accounting_period,
2943
                        'start_action' )
2944
    self.assertEquals(accounting_period.getSimulationState(),
2945
                      'started')
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  def stepConfirmAccountingPeriod(self, sequence, **kw):
    """Confirm the Accounting Period."""
    accounting_period = sequence.get('accounting_period')
    self.getPortal().portal_workflow.doActionFor(
                        accounting_period,
2952
                        'stop_action' )
2953
    self.assertEquals(accounting_period.getSimulationState(),
2954
                      'stopped')
2955

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  def stepCheckAccountingPeriodRefusesClosing(self, sequence, **kw):
    """Checks the Accounting Period refuses closing."""
    accounting_period = sequence.get('accounting_period')
    self.assertRaises(ValidationFailed,
          self.getPortal().portal_workflow.doActionFor,
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          accounting_period, 'stop_action' )
2962

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  def stepDeliverAccountingPeriod(self, sequence, **kw):
    """Deliver the Accounting Period."""
    accounting_period = sequence.get('accounting_period')
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    # take any account for profit and loss account, here we don't care
    profit_and_loss_account = self.portal.account_module.contentValues()[0]
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    self.getPortal().portal_workflow.doActionFor(
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           accounting_period, 'deliver_action',
           profit_and_loss_account=profit_and_loss_account.getRelativeUrl())
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    self.assertEquals(accounting_period.getSimulationState(),
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                      'delivered')
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  def stepCheckAccountingPeriodDelivered(self, sequence, **kw):
    """Check the Accounting Period is delivered."""
    accounting_period = sequence.get('accounting_period')
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    self.assertEquals(accounting_period.getSimulationState(),
                      'delivered')
2979
    
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  def createCurrencies(self):
    """Create some currencies.
    This script will reuse existing currencies, because we want currency ids to
    be stable, as we use them as categories.
    """
    currency_module = self.getCurrencyModule()
    if not hasattr(currency_module, 'EUR'):
      self.EUR = currency_module.newContent(
2988
          portal_type = self.currency_portal_type,
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          reference = "EUR", id = "EUR" )
      self.USD = currency_module.newContent(
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          portal_type = self.currency_portal_type,
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          reference = "USD", id = "USD" )
      self.YEN = currency_module.newContent(
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          portal_type = self.currency_portal_type,
2995
          reference = "YEN", id = "YEN" )
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      transaction.commit()
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      self.tic()
    else:
      self.EUR = currency_module.EUR
      self.USD = currency_module.USD
      self.YEN = currency_module.YEN

  def stepCreateCurrencies(self, sequence, **kw) :
    """Create some currencies. """
    # TODO: remove
    sequence.edit(EUR=self.EUR, USD=self.USD, YEN=self.YEN)
3007
  
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  def createAccounts(self):
    """Create some accounts.
    """
    receivable = self.receivable_account = self.getAccountModule().newContent(
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          title = 'receivable',
          portal_type = self.account_portal_type,
          account_type = 'asset/receivable' )
3015
    payable = self.payable_account = self.getAccountModule().newContent(
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          title = 'payable',
          portal_type = self.account_portal_type,
          account_type = 'liability/payable' )
3019
    expense = self.expense_account = self.getAccountModule().newContent(
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          title = 'expense',
          portal_type = self.account_portal_type,
          account_type = 'expense' )
3023
    income = self.income_account = self.getAccountModule().newContent(
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          title = 'income',
          portal_type = self.account_portal_type,
          account_type = 'income' )
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    collected_vat = self.collected_vat_account = self\
                                        .getAccountModule().newContent(
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          title = 'collected_vat',
          portal_type = self.account_portal_type,
          account_type = 'liability/payable/collected_vat' )
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    refundable_vat = self.refundable_vat_account = self\
                                        .getAccountModule().newContent(
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          title = 'refundable_vat',
          portal_type = self.account_portal_type,
          account_type = 'asset/receivable/refundable_vat' )
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    bank = self.bank_account = self.getAccountModule().newContent(
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          title = 'bank',
          portal_type = self.account_portal_type,
          account_type = 'asset/cash/bank')
    
    # set mirror accounts.
    receivable.setDestinationValue(payable)
    payable.setDestinationValue(receivable)
    expense.setDestinationValue(income)
    income.setDestinationValue(expense)
    collected_vat.setDestinationValue(refundable_vat)
    refundable_vat.setDestinationValue(collected_vat)
    bank.setDestinationValue(bank)
    
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    self.account_list = [ receivable,
                          payable,
                          expense,
                          income,
                          collected_vat,
                          refundable_vat,
                          bank ]
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3059
    for account in self.account_list :
3060
      account.validate()
3061
      self.failUnless('Site Error' not in account.view())
3062
      self.assertEquals(account.getValidationState(), 'validated')
3063
    transaction.commit()
3064
    self.tic()
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  def stepCreateAccounts(self, sequence, **kw) :
    """Create necessary accounts. """
    # XXX remove me !  
    sequence.edit( receivable_account=self.receivable_account,
                   payable_account=self.payable_account,
                   expense_account=self.expense_account,
                   income_account=self.income_account,
                   collected_vat_account=self.collected_vat_account,
                   refundable_vat_account=self.refundable_vat_account,
                   bank_account=self.bank_account,
                   account_list=self.account_list )
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  def getInvoicePropertyList(self):
    """Returns the list of properties for invoices, stored as 
      a list of dictionnaries. """
    # source currency is EUR
    # destination currency is USD
    return [
      # in currency of destination, converted for source
      { 'income' : -200,             'source_converted_income' : -180,
        'collected_vat' : -40,       'source_converted_collected_vat' : -36,
        'receivable' : 240,          'source_converted_receivable' : 216,
        'currency' : 'currency_module/USD' },
      
      # in currency of source, converted for destination
      { 'income' : -100,        'destination_converted_expense' : -200,
3093
        'collected_vat' : 10,   'destination_converted_refundable_vat' : 100,
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        'receivable' : 90,      'destination_converted_payable' : 100,
        'currency' : 'currency_module/EUR' },
      
      { 'income' : -100,        'destination_converted_expense' : -200,
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        'collected_vat' : 10,   'destination_converted_refundable_vat' : 100,
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        'receivable' : 90,      'destination_converted_payable' : 100,
        'currency' : 'currency_module/EUR' },
      
      # in an external currency, converted for both source and dest.
      { 'income' : -300,
                    'source_converted_income' : -200,
                    'destination_converted_expense' : -400,
        'collected_vat' : 40,
                    'source_converted_collected_vat' : 36,
                    'destination_converted_refundable_vat' : 50,
        'receivable' : 260,
                    'source_converted_receivable' : 164,
                    'destination_converted_payable': 350,
        'currency' : 'currency_module/YEN' },
      
      # currency of source, not converted for destination -> 0
      { 'income' : -100,
        'collected_vat' : -20,
        'receivable' : 120,
        'currency' : 'currency_module/EUR' },
      
    ]
  
  def stepCreateInvoices(self, sequence, **kw) :
    """Create invoices with properties from getInvoicePropertyList. """
    invoice_prop_list = self.getInvoicePropertyList()
    invoice_list = []
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    date_list = sequence.get('date_list')
    if not date_list : date_list = [ DateTime(2004, 12, 31) ]
    i = 0
3129
    for invoice_prop in invoice_prop_list :
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      i += 1
      date = date_list[i % len(date_list)]
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      invoice = self.getAccountingModule().newContent(
          portal_type = self.sale_invoice_portal_type,
          source_section_value = sequence.get('vendor'),
          source_value = sequence.get('vendor'),
          destination_section_value = sequence.get('client'),
          destination_value = sequence.get('client'),
          resource = invoice_prop['currency'],
3139
          start_date = date, stop_date = date,
3140
          created_by_builder = 0,
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      )
      
      for line_type in ['income', 'receivable', 'collected_vat'] :
        source_account = sequence.get('%s_account' % line_type)
        line = invoice.newContent(
          portal_type = self.sale_invoice_transaction_line_portal_type,
          quantity = invoice_prop[line_type],
          source_value = source_account
        )
        source_converted = invoice_prop.get(
                          'source_converted_%s' % line_type, None)
        if source_converted is not None :
          line.setSourceTotalAssetPrice(source_converted)
        
        destination_account = source_account.getDestinationValue(
                                                portal_type = 'Account' )
        destination_converted = invoice_prop.get(
                          'destination_converted_%s' %
                          destination_account.getAccountTypeId(), None)
        if destination_converted is not None :
          line.setDestinationTotalAssetPrice(destination_converted)
 
      invoice_list.append(invoice)
    sequence.edit( invoice_list = invoice_list )
  
3166 3167 3168 3169 3170 3171 3172 3173 3174 3175 3176 3177 3178 3179 3180
  def stepCreateOtherSectionInvoices(self, sequence, **kw):
    """Create invoice for other sections."""
    other_source = self.getOrganisationModule().newContent(
                      portal_type = 'Organisation' )
    other_destination = self.getOrganisationModule().newContent(
                      portal_type = 'Organisation' )
    invoice = self.getAccountingModule().newContent(
        portal_type = self.sale_invoice_portal_type,
        source_section_value = other_source,
        source_value = other_source,
        destination_section_value = other_destination,
        destination_value = other_destination,
        resource_value = sequence.get('EUR'),
        start_date = self.start_date,
        stop_date = self.start_date,
3181
        created_by_builder = 0,
3182 3183 3184 3185 3186 3187 3188 3189 3190 3191 3192 3193 3194 3195 3196 3197
    )
    
    line = invoice.newContent(
        portal_type = self.sale_invoice_transaction_line_portal_type,
        quantity = 100, source_value = sequence.get('account_list')[0])
    line = invoice.newContent(
        portal_type = self.sale_invoice_transaction_line_portal_type,
        quantity = -100, source_value = sequence.get('account_list')[1])
    sequence.edit(invoice_list = [invoice])
  
  def stepStopInvoices(self, sequence, **kw) :
    """Validates invoices."""
    invoice_list = sequence.get('invoice_list')
    for invoice in invoice_list:
      self.getPortal().portal_workflow.doActionFor(
          invoice, 'stop_action')
3198 3199 3200 3201 3202 3203 3204 3205
  
  def stepCheckStopInvoicesRefused(self, sequence, **kw) :
    """Checks that invoices cannot be validated."""
    invoice_list = sequence.get('invoice_list')
    for invoice in invoice_list:
      self.assertRaises(ValidationFailed,
          self.getPortal().portal_workflow.doActionFor,
          invoice, 'stop_action')
3206 3207 3208 3209 3210 3211 3212 3213 3214 3215 3216 3217 3218

  def stepCheckInvoicesAreDraft(self, sequence, **kw) :
    """Checks invoices are in draft state."""
    invoice_list = sequence.get('invoice_list')
    for invoice in invoice_list:
      self.assertEquals(invoice.getSimulationState(), 'draft')

  def stepCheckInvoicesAreStopped(self, sequence, **kw) :
    """Checks invoices are in stopped state."""
    invoice_list = sequence.get('invoice_list')
    for invoice in invoice_list:
      self.assertEquals(invoice.getSimulationState(), 'stopped')
      
3219 3220 3221 3222 3223 3224 3225 3226 3227 3228 3229 3230 3231 3232
  def checkAccountBalanceInCurrency(self, section, currency,
                                          sequence, **kw) :
    """ Checks accounts balances in a given currency."""
    invoice_list = sequence.get('invoice_list')
    for account_type in [ 'income', 'receivable', 'collected_vat',
                          'expense', 'payable', 'refundable_vat' ] :
      account = sequence.get('%s_account' % account_type)
      calculated_balance = 0
      for invoice in invoice_list :
        for line in invoice.getMovementList():
          # source
          if line.getSourceValue() == account and\
             line.getResourceValue() == currency and\
             section == line.getSourceSectionValue() :
3233
            calculated_balance += (
3234 3235 3236
                    line.getSourceDebit() - line.getSourceCredit())
          # dest.
          elif line.getDestinationValue() == account and\
3237 3238 3239
            line.getResourceValue() == currency and\
            section == line.getDestinationSectionValue() :
            calculated_balance += (
3240 3241 3242 3243 3244 3245
                    line.getDestinationDebit() - line.getDestinationCredit())
      
      self.assertEquals(calculated_balance,
          self.getPortal().portal_simulation.getInventory(
            node_uid = account.getUid(),
            section_uid = section.getUid(),
3246
            resource_uid = currency.getUid(),
3247 3248 3249 3250 3251 3252 3253 3254 3255 3256 3257 3258 3259 3260 3261 3262 3263 3264 3265 3266 3267 3268 3269 3270 3271 3272 3273 3274 3275 3276 3277 3278 3279 3280 3281 3282 3283 3284 3285 3286 3287
          ))
  
  def stepCheckAccountBalanceLocalCurrency(self, sequence, **kw) :
    """ Checks accounts balances in the organisation default currency."""
    for section in (sequence.get('vendor'), sequence.get('client')) :
      currency = section.getPriceCurrencyValue()
      self.checkAccountBalanceInCurrency(section, currency, sequence)
  
  def stepCheckAccountBalanceExternalCurrency(self, sequence, **kw) :
    """ Checks accounts balances in external currencies ."""
    for section in (sequence.get('vendor'), sequence.get('client')) :
      for currency in (sequence.get('USD'), sequence.get('YEN')) :
        self.checkAccountBalanceInCurrency(section, currency, sequence)
    
  def checkAccountBalanceInConvertedCurrency(self, section, sequence, **kw) :
    """ Checks accounts balances converted in section default currency."""
    invoice_list = sequence.get('invoice_list')
    for account_type in [ 'income', 'receivable', 'collected_vat',
                          'expense', 'payable', 'refundable_vat' ] :
      account = sequence.get('%s_account' % account_type)
      calculated_balance = 0
      for invoice in invoice_list :
        for line in invoice.getMovementList() :
          if line.getSourceValue() == account and \
             section == line.getSourceSectionValue() :
            calculated_balance += line.getSourceInventoriatedTotalAssetPrice()
          elif line.getDestinationValue() == account and\
               section == line.getDestinationSectionValue() :
            calculated_balance += \
                             line.getDestinationInventoriatedTotalAssetPrice()
      self.assertEquals(calculated_balance,
          self.getPortal().portal_simulation.getInventoryAssetPrice(
            node_uid = account.getUid(),
            section_uid = section.getUid(),
          ))
  
  def stepCheckAccountBalanceConvertedCurrency(self, sequence, **kw):
    """Checks accounts balances converted in the organisation default
    currency."""
    for section in (sequence.get('vendor'), sequence.get('client')) :
      self.checkAccountBalanceInConvertedCurrency(section, sequence)
3288
  
3289 3290 3291 3292 3293 3294 3295 3296 3297 3298 3299 3300 3301 3302 3303 3304 3305 3306
  def stepCheckAcquisition(self, sequence, **kw):
    """Checks acquisition and portal types configuration. """
    resource_value = sequence.get('EUR')
    source_section_title = "Source Section Title"
    destination_section_title = "Destination Section Title"
    source_section_value = self.getOrganisationModule().newContent(
        portal_type = self.organisation_portal_type,
        title = source_section_title,
        group = "group/client",
        price_currency = "currency_module/USD")
    destination_section_value = self.getOrganisationModule().newContent(
        portal_type = self.organisation_portal_type,
        title = destination_section_title,
        group = "group/vendor",
        price_currency = "currency_module/EUR")
    
    portal = self.getPortal()
    accounting_module = portal.accounting_module
3307
    self.failUnless('Site Error' not in accounting_module.view())
3308 3309 3310 3311 3312 3313 3314 3315 3316 3317 3318
    self.assertNotEquals(
          len(portal.getPortalAccountingMovementTypeList()), 0)
    self.assertNotEquals(
          len(portal.getPortalAccountingTransactionTypeList()), 0)
    for accounting_portal_type in portal\
                    .getPortalAccountingTransactionTypeList():
      accounting_transaction = accounting_module.newContent(
            portal_type = accounting_portal_type,
            source_section_value = source_section_value,
            destination_section_value = destination_section_value,
            resource_value = resource_value )
3319
      self.failUnless('Site Error' not in accounting_transaction.view())
3320 3321 3322 3323 3324 3325 3326 3327 3328 3329 3330 3331 3332 3333 3334
      self.assertEquals( accounting_transaction.getSourceSectionValue(),
                         source_section_value )
      self.assertEquals( accounting_transaction.getDestinationSectionValue(),
                         destination_section_value )
      self.assertEquals( accounting_transaction.getResourceValue(),
                         resource_value )
      self.assertNotEquals(
              len(accounting_transaction.allowedContentTypes()), 0)
      tested_line_portal_type = 0
      for line_portal_type in portal.getPortalAccountingMovementTypeList():
        allowed_content_types = [x.id for x in
                            accounting_transaction.allowedContentTypes()]
        if line_portal_type in allowed_content_types :
          line = accounting_transaction.newContent(
            portal_type = line_portal_type, )
3335
          self.failUnless('Site Error' not in line.view())
3336 3337 3338 3339 3340 3341 3342 3343 3344 3345 3346 3347 3348 3349 3350 3351 3352 3353
          # section and resource is acquired from parent transaction.
          self.assertEquals( line.getDestinationSectionValue(),
                             destination_section_value )
          self.assertEquals( line.getDestinationSectionTitle(),
                             destination_section_title )
          self.assertEquals( line.getSourceSectionValue(),
                             source_section_value )
          self.assertEquals( line.getSourceSectionTitle(),
                             source_section_title )
          self.assertEquals( line.getResourceValue(),
                             resource_value )
          tested_line_portal_type = 1
      self.assert_(tested_line_portal_type, ("No lines tested ... " +
                          "getPortalAccountingMovementTypeList = %s " +
                          "<%s>.allowedContentTypes = %s") %
                          (portal.getPortalAccountingMovementTypeList(),
                            accounting_transaction.getPortalType(),
                            allowed_content_types ))
3354
  
3355 3356 3357 3358 3359 3360 3361 3362 3363 3364 3365 3366 3367 3368 3369 3370 3371 3372 3373 3374 3375 3376 3377 3378 3379 3380 3381 3382 3383 3384 3385 3386 3387
  def createAccountingTransaction(self,
                        portal_type=accounting_transaction_portal_type,
                        line_portal_type=accounting_transaction_line_portal_type,
                        quantity=100, reindex=1, check_consistency=1, **kw):
    """Creates an accounting transaction.
    By default, this transaction contains 2 lines, income and receivable.
      quantity          - The quantity property on created lines.
      reindex           - The transaction will be reindexed.
      check_consistency - a consistency check will be performed on the
                          transaction.
    """
    kw.setdefault('resource_value', self.EUR)
    kw.setdefault('source_section_value', self.vendor)
    kw.setdefault('destination_section_value', self.client)
    if 'start_date' not in kw:
      start_date = DateTime(2000, 01, 01)
      # get a valid date for source section
      for openned_source_section_period in\
        kw['source_section_value'].searchFolder(
              portal_type=self.accounting_period_portal_type,
              simulation_state='planned' ):
        start_date = openned_source_section_period.getStartDate() + 1
      kw['start_date'] = start_date

    if 'stop_date' not in kw:
      # get a valid date for destination section
      stop_date = DateTime(2000, 02, 02)
      for openned_destination_section_period in\
        kw['destination_section_value'].searchFolder(
              portal_type=self.accounting_period_portal_type,
              simulation_state='planned' ):
        stop_date = openned_destination_section_period.getStartDate() + 1
      kw['stop_date'] = stop_date
3388

3389
    # create the transaction.
3390
    accounting_transaction = self.getAccountingModule().newContent(
3391 3392 3393 3394 3395 3396 3397
      portal_type=portal_type,
      start_date=kw['start_date'],
      stop_date=kw['stop_date'],
      resource_value=kw['resource_value'],
      source_section_value=kw['source_section_value'],
      destination_section_value=kw['destination_section_value'],
      created_by_builder = 1 # prevent the init script from
3398 3399
                             # creating lines.
    )
3400
    income = accounting_transaction.newContent(
3401 3402
                  id='income',
                  portal_type=line_portal_type,
3403
                  quantity=-quantity,
3404 3405 3406
                  source_value=kw.get('income_account', self.income_account),
                  destination_value=kw.get('expense_account',
                                              self.expense_account), )
3407 3408 3409
    self.failUnless(income.getSource() != None)
    self.failUnless(income.getDestination() != None)
    
3410
    receivable = accounting_transaction.newContent(
3411 3412
                  id='receivable',
                  portal_type=line_portal_type,
3413
                  quantity=quantity,
3414 3415 3416 3417
                  source_value=kw.get('receivable_account',
                                          self.receivable_account),
                  destination_value=kw.get('payable_account',
                                            self.payable_account), )
3418 3419
    self.failUnless(receivable.getSource() != None)
    self.failUnless(receivable.getDestination() != None)
3420
    if reindex:
3421
      transaction.commit()
3422 3423
      self.tic()
    if check_consistency:
3424 3425 3426
      self.failUnless(len(accounting_transaction.checkConsistency()) == 0,
         "Check consistency failed : %s" % accounting_transaction.checkConsistency())
    return accounting_transaction
3427

3428 3429 3430 3431
  def test_createAccountingTransaction(self):
    """Make sure acounting transactions created by createAccountingTransaction
    method are valid.
    """
3432 3433 3434 3435 3436
    accounting_transaction = self.createAccountingTransaction()
    self.assertEquals(self.vendor, accounting_transaction.getSourceSectionValue())
    self.assertEquals(self.client, accounting_transaction.getDestinationSectionValue())
    self.assertEquals(self.EUR, accounting_transaction.getResourceValue())
    self.failUnless(accounting_transaction.AccountingTransaction_isSourceView())
3437
    
3438 3439 3440
    self.workflow_tool.doActionFor(accounting_transaction, 'stop_action')
    self.assertEquals('stopped', accounting_transaction.getSimulationState())
    self.assertEquals([] , accounting_transaction.checkConsistency())
3441

3442 3443 3444 3445
  def stepCreateValidAccountingTransaction(self, sequence,
                                          sequence_list=None, **kw) :
    """Creates a valid accounting transaction and put it in
    the sequence as `transaction` key. """
3446
    accounting_transaction = self.createAccountingTransaction(
3447 3448 3449 3450 3451 3452 3453
                            resource_value=sequence.get('EUR'),
                            source_section_value=sequence.get('vendor'),
                            destination_section_value=sequence.get('client'),
                            income_account=sequence.get('income_account'),
                            expense_account=sequence.get('expense_account'),
                            receivable_account=sequence.get('receivable_account'),
                            payable_account=sequence.get('payable_account'), )
3454
    sequence.edit(
3455 3456 3457
      transaction = accounting_transaction,
      income = accounting_transaction.income,
      receivable = accounting_transaction.receivable
3458 3459
    )
    
3460 3461 3462 3463 3464 3465 3466 3467 3468
  def stepValidateNoDate(self, sequence, sequence_list=None, **kw) :
    """When no date is defined, validation should be impossible.
    
    Actually, we could say that if we have source_section, we need start_date,
    and if we have destination section, we need stop_date only, but we decided
    to update a date (of start_date / stop_date) using the other one if one is
    missing. (ie. stop_date defaults automatically to start_date if not set and
    start_date is set to stop_date in the workflow script if not set.
    """
3469 3470 3471 3472 3473 3474 3475
    accounting_transaction = sequence.get('transaction')
    old_stop_date = accounting_transaction.getStopDate()
    old_start_date = accounting_transaction.getStartDate()
    accounting_transaction.setStopDate(None)
    if accounting_transaction.getStopDate() != None :
      accounting_transaction.setStartDate(None)
      accounting_transaction.setStopDate(None)
3476 3477
    self.assertRaises(ValidationFailed,
        self.getWorkflowTool().doActionFor,
3478
        accounting_transaction,
3479
        'stop_action')
3480 3481 3482 3483
    accounting_transaction.setStartDate(old_start_date)
    accounting_transaction.setStopDate(old_stop_date)
    self.getWorkflowTool().doActionFor(accounting_transaction, 'stop_action')
    self.assertEquals(accounting_transaction.getSimulationState(), 'stopped')
3484 3485 3486 3487 3488 3489 3490 3491 3492 3493
  
  def stepValidateNoSection(self, sequence, sequence_list=None, **kw) :
    """Check validation behaviour related to section & mirror_section.
    When no source section is defined, we are in one of the following
    cases : 
      o if we use payable or receivable account, the validation should
        be refused.
      o if we do not use any payable or receivable accounts and we have
      a destination section, validation should be ok.
    """
3494 3495 3496
    accounting_transaction = sequence.get('transaction')
    old_source_section = accounting_transaction.getSourceSection()
    old_destination_section = accounting_transaction.getDestinationSection()
3497 3498
    # default transaction uses payable accounts, so validating without
    # source section is refused.
3499
    accounting_transaction.setSourceSection(None)
3500 3501
    self.assertRaises(ValidationFailed,
        self.getWorkflowTool().doActionFor,
3502
        accounting_transaction,
3503 3504
        'stop_action')
    # ... as well as validation without destination section
3505 3506
    accounting_transaction.setSourceSection(old_source_section)
    accounting_transaction.setDestinationSection(None)
3507 3508
    self.assertRaises(ValidationFailed,
        self.getWorkflowTool().doActionFor,
3509
        accounting_transaction,
3510 3511
        'stop_action')
    # mirror section can be set only on the line
3512
    for line in accounting_transaction.getMovementList() :
3513
      line.setDestinationSection(old_destination_section)
3514
    try:
3515 3516
      self.getWorkflowTool().doActionFor(accounting_transaction, 'stop_action')
      self.assertEquals(accounting_transaction.getSimulationState(), 'stopped')
3517 3518 3519 3520 3521
    except ValidationFailed, err :
      self.assert_(0, "Validation failed : %s" % err.msg)
    
    # if we do not use any payable / receivable account, then we can
    # validate the transaction without setting the mirror section.
3522 3523 3524 3525
    for side in (SOURCE, ): # DESTINATION) :
      # TODO: for now, we only test for source, as it makes no sense to use for
      # destination section only. We could theoritically support it.

3526
      # get a new valid transaction
3527
      accounting_transaction = self.createAccountingTransaction()
3528
      expense_account = sequence.get('expense_account')
3529
      for line in accounting_transaction.getMovementList() :
3530 3531 3532
        line.edit( source_value = expense_account,
                   destination_value = expense_account )
      if side == SOURCE :
3533
        accounting_transaction.setDestinationSection(None)
3534
      else :
3535
        accounting_transaction.setSourceSection(None)
3536
      try:
3537 3538
        self.getWorkflowTool().doActionFor(accounting_transaction, 'stop_action')
        self.assertEquals(accounting_transaction.getSimulationState(), 'stopped')
3539 3540 3541 3542 3543 3544
      except ValidationFailed, err :
        self.assert_(0, "Validation failed : %s" % err.msg)
        
  def stepValidateNoCurrency(self, sequence, sequence_list=None, **kw) :
    """Check validation behaviour related to currency.
    """
3545 3546 3547
    accounting_transaction = sequence.get('transaction')
    old_resource = accounting_transaction.getResource()
    accounting_transaction.setResource(None)
3548 3549
    self.assertRaises(ValidationFailed,
        self.getWorkflowTool().doActionFor,
3550
        accounting_transaction,
3551 3552 3553
        'stop_action')
    # setting a dummy relationship is not enough, resource must be a
    # currency
3554
    accounting_transaction.setResourceValue(
3555
         self.portal.product_module.newContent(portal_type='Product'))
3556 3557
    self.assertRaises(ValidationFailed,
        self.getWorkflowTool().doActionFor,
3558
        accounting_transaction,
3559 3560 3561 3562 3563 3564 3565
        'stop_action')
    
  def stepValidateClosedAccount(self, sequence, sequence_list=None, **kw) :
    """Check validation behaviour related to closed accounts.
    If an account is blocked, then it's impossible to validate a
    transaction related to this account.
    """
3566 3567
    accounting_transaction = sequence.get('transaction')
    account = accounting_transaction.getMovementList()[0].getSourceValue()
3568 3569 3570 3571
    self.getWorkflowTool().doActionFor(account, 'invalidate_action')
    self.assertEquals(account.getValidationState(), 'invalidated')
    self.assertRaises(ValidationFailed,
        self.getWorkflowTool().doActionFor,
3572
        accounting_transaction,
3573 3574 3575 3576 3577 3578 3579 3580 3581
        'stop_action')
    # reopen the account for other tests
    account.validate()
    self.assertEquals(account.getValidationState(), 'validated')
    
  def stepValidateNoAccounts(self, sequence, sequence_list=None, **kw) :
    """Simple check that the validation is refused when we do not have
    accounts correctly defined on lines.
    """
3582
    accounting_transaction = sequence.get('transaction')
3583
    # no account at all is refused
3584
    for line in accounting_transaction.getMovementList():
3585 3586 3587 3588
      line.setSource(None)
      line.setDestination(None)
    self.assertRaises(ValidationFailed,
        self.getWorkflowTool().doActionFor,
3589
        accounting_transaction,
3590 3591 3592
        'stop_action')
    
    # only one line without account and with a quantity is also refused
3593 3594 3595
    accounting_transaction = self.createAccountingTransaction()
    accounting_transaction.getMovementList()[0].setSource(None)
    accounting_transaction.getMovementList()[0].setDestination(None)
3596 3597
    self.assertRaises(ValidationFailed,
        self.getWorkflowTool().doActionFor,
3598
        accounting_transaction,
3599 3600 3601 3602
        'stop_action')
    
    # but if we have a line with 0 quantity on both sides, we can
    # validate the transaction and delete this line.
3603 3604 3605
    accounting_transaction = self.createAccountingTransaction()
    line_count = len(accounting_transaction.getMovementList())
    accounting_transaction.newContent(
3606
        portal_type = self.accounting_transaction_line_portal_type)
3607 3608 3609
    self.getWorkflowTool().doActionFor(accounting_transaction, 'stop_action')
    self.assertEquals(accounting_transaction.getSimulationState(), 'stopped')
    self.assertEquals(line_count, len(accounting_transaction.getMovementList()))
3610 3611 3612
    
    # 0 quantity, but a destination asset price => do not delete the
    # line
3613 3614
    accounting_transaction = self.createAccountingTransaction()
    new_line = accounting_transaction.newContent(
3615
        portal_type = self.accounting_transaction_line_portal_type)
3616 3617
    self.assertEquals(len(accounting_transaction.getMovementList()), 3)
    line_list = accounting_transaction.getMovementList()
3618
    line_list[0].setDestinationTotalAssetPrice(100)
3619 3620
    line_list[0]._setCategoryMembership(
          'destination', sequence.get('expense_account').getRelativeUrl())
3621
    line_list[1].setDestinationTotalAssetPrice(- 50)
3622 3623
    line_list[1]._setCategoryMembership(
          'destination', sequence.get('expense_account').getRelativeUrl())
3624
    line_list[2].setDestinationTotalAssetPrice(- 50)
3625 3626
    line_list[2]._setCategoryMembership(
          'destination', sequence.get('expense_account').getRelativeUrl())
3627
    try:
3628 3629
      self.getWorkflowTool().doActionFor(accounting_transaction, 'stop_action')
      self.assertEquals(accounting_transaction.getSimulationState(), 'stopped')
3630 3631 3632 3633 3634 3635
    except ValidationFailed, err :
      self.assert_(0, "Validation failed : %s" % err.msg)
  
  def stepValidateNotBalanced(self, sequence, sequence_list=None, **kw) :
    """Check validation behaviour when transaction is not balanced.
    """
3636 3637
    accounting_transaction = sequence.get('transaction')
    accounting_transaction.getMovementList()[0].setQuantity(4325)
3638 3639
    self.assertRaises(ValidationFailed,
        self.getWorkflowTool().doActionFor,
3640
        accounting_transaction,
3641 3642 3643 3644
        'stop_action')
    
    # asset price have priority (ie. if asset price is not balanced,
    # refuses validation even if quantity is balanced)
3645 3646
    accounting_transaction = self.createAccountingTransaction(resource_value=self.YEN)
    line_list = accounting_transaction.getMovementList()
3647 3648 3649 3650
    line_list[0].setDestinationTotalAssetPrice(10)
    line_list[1].setDestinationTotalAssetPrice(100)
    self.assertRaises(ValidationFailed,
        self.getWorkflowTool().doActionFor,
3651
        accounting_transaction,
3652 3653
        'stop_action')
    
3654 3655
    accounting_transaction = self.createAccountingTransaction(resource_value=self.YEN)
    line_list = accounting_transaction.getMovementList()
3656 3657 3658 3659
    line_list[0].setSourceTotalAssetPrice(10)
    line_list[1].setSourceTotalAssetPrice(100)
    self.assertRaises(ValidationFailed,
        self.getWorkflowTool().doActionFor,
3660
        accounting_transaction,
3661 3662 3663
        'stop_action')
    
    # only asset price needs to be balanced
3664 3665
    accounting_transaction = self.createAccountingTransaction(resource_value=self.YEN)
    line_list = accounting_transaction.getMovementList()
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    line_list[0].setSourceTotalAssetPrice(100)
    line_list[0].setDestinationTotalAssetPrice(100)
    line_list[0].setQuantity(432432)
    line_list[1].setSourceTotalAssetPrice(-100)
    line_list[1].setDestinationTotalAssetPrice(-100)
    line_list[1].setQuantity(32546787)
    try:
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      self.getWorkflowTool().doActionFor(accounting_transaction, 'stop_action')
      self.assertEquals(accounting_transaction.getSimulationState(), 'stopped')
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    except ValidationFailed, err :
      self.assert_(0, "Validation failed : %s" % err.msg)
  
  def stepValidateNoPayment(self, sequence, sequence_list=None, **kw) :
    """Check validation behaviour related to payment & mirror_payment.
    If we use an account of type asset/cash/bank, we must use set a Bank
    Account as source_payment or destination_payment.
    This this source/destination payment must be a portal type from the
    `payment node` portal type group. It can be defined on transaction
    or line.
    """
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    def useBankAccount(accounting_transaction):
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      """Modify the transaction, so that a line will use an account member of
      account_type/cash/bank , which requires to use a payment category.
      """
      # get the default and replace income account by bank
      income_account_found = 0
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      for line in accounting_transaction.getMovementList() :
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        source_account = line.getSourceValue()
        if source_account.isMemberOf('account_type/income') :
          income_account_found = 1
          line.edit( source_value = sequence.get('bank_account'),
                     destination_value = sequence.get('bank_account') )
      self.failUnless(income_account_found)
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    # XXX
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    accounting_transaction = sequence.get('transaction')
    useBankAccount(accounting_transaction)
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    self.assertRaises(ValidationFailed,
        self.getWorkflowTool().doActionFor,
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        accounting_transaction,
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        'stop_action')
    
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    source_section_value = accounting_transaction.getSourceSectionValue()
    destination_section_value = accounting_transaction.getDestinationSectionValue()
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    for ptype in self.getPortal().getPortalPaymentNodeTypeList() :
      source_payment_value = source_section_value.newContent(
                                  portal_type = ptype, )
      destination_payment_value = destination_section_value.newContent(
                                  portal_type = ptype, )
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      accounting_transaction = self.createAccountingTransaction(
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                      destination_section_value=self.other_vendor)
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      useBankAccount(accounting_transaction)
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      # payment node have to be set on both sides if both sides are member of
      # the same group.
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      accounting_transaction.setSourcePaymentValue(source_payment_value)
      accounting_transaction.setDestinationPaymentValue(None)
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      self.assertRaises(ValidationFailed,
          self.getWorkflowTool().doActionFor,
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          accounting_transaction,
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          'stop_action')
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      accounting_transaction.setSourcePaymentValue(None)
      accounting_transaction.setDestinationPaymentValue(destination_payment_value)
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      self.assertRaises(ValidationFailed,
          self.getWorkflowTool().doActionFor,
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          accounting_transaction,
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          'stop_action')
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      accounting_transaction.setSourcePaymentValue(source_payment_value)
      accounting_transaction.setDestinationPaymentValue(destination_payment_value)
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      try:
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        self.getWorkflowTool().doActionFor(accounting_transaction, 'stop_action')
        self.assertEquals(accounting_transaction.getSimulationState(), 'stopped')
3737
      except ValidationFailed, err :
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        self.fail("Validation failed : %s" % err.msg)

      # if we are not interested in the accounting for the third party, no need
      # to have a destination_payment
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      accounting_transaction = self.createAccountingTransaction()
      useBankAccount(accounting_transaction)
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      # only set payment for source
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      accounting_transaction.setSourcePaymentValue(source_payment_value)
      accounting_transaction.setDestinationPaymentValue(None)
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      # then we should be able to validate.
      try:
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        self.getWorkflowTool().doActionFor(accounting_transaction, 'stop_action')
        self.assertEquals(accounting_transaction.getSimulationState(), 'stopped')
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      except ValidationFailed, err:
        self.fail("Validation failed : %s" % err.msg)
    
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  def stepValidateRemoveEmptyLines(self, sequence, sequence_list=None, **kw):
    """Check validating a transaction remove empty lines. """
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    accounting_transaction = sequence.get('transaction')
    lines_count = len(accounting_transaction.getMovementList())
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    empty_lines_count = 0
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    for line in accounting_transaction.getMovementList():
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      if line.getSourceTotalAssetPrice() ==  \
         line.getDestinationTotalAssetPrice() == 0:
        empty_lines_count += 1
    if empty_lines_count == 0:
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      accounting_transaction.newContent(
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            portal_type=self.accounting_transaction_line_portal_type)
    
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    self.getWorkflowTool().doActionFor(accounting_transaction, 'stop_action')
    self.assertEquals(len(accounting_transaction.getMovementList()),
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                      lines_count - empty_lines_count)
    
    # we don't remove empty lines if there is only empty lines
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    accounting_transaction = self.getAccountingModule().newContent(
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                      portal_type=self.accounting_transaction_portal_type,
                      created_by_builder=1)
    for i in range(3):
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      accounting_transaction.newContent(
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            portal_type=self.accounting_transaction_line_portal_type)
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    lines_count = len(accounting_transaction.getMovementList())
    accounting_transaction.AccountingTransaction_deleteEmptyLines(redirect=0)
    self.assertEquals(len(accounting_transaction.getMovementList()), lines_count)
3781
    
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  ############################################################################
  ## Test Methods ############################################################
  ############################################################################
3785
  
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  def test_MultiCurrencyInvoice(self, quiet=QUIET, run=RUN_ALL_TESTS):
3787
    """Basic test for multi currency accounting"""
3788
    if not run : return
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    self.playSequence("""
      stepCreateCurrencies
      stepCreateEntities
      stepCreateAccounts
      stepCreateInvoices
      stepTic
      stepCheckAccountBalanceLocalCurrency
      stepCheckAccountBalanceExternalCurrency
      stepCheckAccountBalanceConvertedCurrency
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    """, quiet=quiet)
3799 3800

  def test_AccountingPeriodRefusesWrongDateTransactionValidation(
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        self, quiet=QUIET, run=RUN_ALL_TESTS):
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    """Accounting Periods prevents transactions from being validated when there
    is no oppened accounting period"""
3804
    if not run : return
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    self.playSequence("""
      stepCreateCurrencies
      stepCreateEntities
      stepCreateAccounts
      stepCreateAccountingPeriod
      stepOpenAccountingPeriod
      stepTic
      stepUseInvalidDates
      stepCreateInvoices
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      stepCheckStopInvoicesRefused
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      stepTic
      stepCheckInvoicesAreDraft
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    """, quiet=quiet)
3818

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  def test_AccountingPeriodNotStoppedTransactions(self, quiet=QUIET,
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                                                  run=RUN_ALL_TESTS):
    """Accounting Periods refuse to close when some transactions are
      not stopped"""
3823
    if not run : return
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    self.playSequence("""
      stepCreateCurrencies
      stepCreateEntities
      stepCreateAccounts
      stepCreateAccountingPeriod
      stepOpenAccountingPeriod
      stepTic
      stepCreateInvoices
      stepTic
      stepCheckAccountingPeriodRefusesClosing
      stepTic
      stepCheckInvoicesAreDraft
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    """, quiet=quiet)
3837

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  def test_AccountingPeriodOtherSections(self, quiet=QUIET,
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                                                  run=RUN_ALL_TESTS):
    """Accounting Periods does not change other section transactions."""
3841
    if not run : return
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    self.playSequence("""
      stepCreateCurrencies
      stepCreateEntities
      stepCreateAccounts
      stepCreateAccountingPeriod
      stepOpenAccountingPeriod
      stepTic
      stepCreateOtherSectionInvoices
      stepTic
      stepConfirmAccountingPeriod
      stepTic
      stepDeliverAccountingPeriod
      stepTic
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      stepCheckAccountingPeriodDelivered
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      stepCheckInvoicesAreDraft
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    """, quiet=quiet)
3858

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  def test_Acquisition(self, quiet=QUIET, run=RUN_ALL_TESTS):
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    """Tests acquisition, categories and portal types are well
    configured. """
    if not run : return
    self.playSequence("""
      stepCreateCurrencies
      stepCheckAcquisition
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      """, quiet=quiet)
3867

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  def test_AccountingTransactionValidationDate(self, quiet=QUIET,
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                                            run=RUN_ALL_TESTS):
    """Transaction validation and dates"""
    if not run : return
    self.playSequence("""
      stepCreateEntities
      stepCreateCurrencies
      stepCreateAccounts
      stepCreateValidAccountingTransaction
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      stepValidateNoDate""", quiet=quiet)
3878

3879

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  def test_AccountingTransactionValidationSection(self, quiet=QUIET,
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                                             run=RUN_ALL_TESTS):
    """Transaction validation and section"""
    if not run : return
    self.playSequence("""
      stepCreateEntities
      stepCreateCurrencies
      stepCreateAccounts
      stepCreateValidAccountingTransaction
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      stepValidateNoSection""", quiet=quiet)
3890

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  def test_AccountingTransactionValidationCurrency(self, quiet=QUIET,
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                                           run=RUN_ALL_TESTS):
    """Transaction validation and currency"""
    if not run : return
    self.playSequence("""
      stepCreateEntities
      stepCreateCurrencies
      stepCreateAccounts
      stepCreateValidAccountingTransaction
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      stepValidateNoCurrency""", quiet=quiet)
3901

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  def test_AccountingTransactionValidationAccounts(self, quiet=QUIET,
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                                           run=RUN_ALL_TESTS):
    """Transaction validation and accounts"""
    if not run : return
    self.playSequence("""
      stepCreateEntities
      stepCreateCurrencies
      stepCreateAccounts
      stepCreateValidAccountingTransaction
      stepValidateClosedAccount
      stepCreateValidAccountingTransaction
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      stepValidateNoAccounts""", quiet=quiet)
3914

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  def test_AccountingTransactionValidationBalanced(self, quiet=QUIET,
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                                              run=RUN_ALL_TESTS):
    """Transaction validation and balance"""
    if not run : return
    self.playSequence("""
      stepCreateEntities
      stepCreateCurrencies
      stepCreateAccounts
      stepCreateValidAccountingTransaction
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      stepValidateNotBalanced""", quiet=quiet)
3925

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  def test_AccountingTransactionValidationPayment(self, quiet=QUIET,
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                                             run=RUN_ALL_TESTS):
    """Transaction validation and payment"""
    if not run : return
    self.playSequence("""
      stepCreateEntities
      stepCreateCurrencies
      stepCreateAccounts
      stepCreateValidAccountingTransaction
      stepValidateNoPayment
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    """, quiet=quiet)
3937

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  def test_AccountingTransactionValidationRemoveEmptyLines(self, quiet=QUIET,
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                                             run=RUN_ALL_TESTS):
    """Transaction validation removes empty lines"""
    if not run : return
    self.playSequence("""
      stepCreateEntities
      stepCreateCurrencies
      stepCreateAccounts
      stepCreateValidAccountingTransaction
      stepValidateRemoveEmptyLines
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    """, quiet=quiet)
3949

3950

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class TestAccountingTransactionTemplate(AccountingTestCase):
  """A test for Accounting Transaction Template
  """

  def getTitle(self):
    return "Accounting Transaction Template"

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  def disableUserPreferenceList(self):
    """Disable existing User preferences."""
    for preference in self.portal.portal_preferences.objectValues():
      if preference.getPriority() == Priority.USER:
        preference.disable()

3964
  def test_Template(self):
3965
    self.disableUserPreferenceList()
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    self.login('claudie')
    preference = self.portal.portal_preferences.newContent('Preference')
    preference.priority = Priority.USER
    preference.enable()

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    transaction.commit()
3972 3973
    self.tic()

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    document = self.accounting_module.newContent(
                    portal_type='Accounting Transaction')
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    document.edit(title='My Accounting Transaction')
    document.Base_makeTemplateFromDocument(form_id=None)

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    transaction.commit()
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    self.tic()

    self.assertEqual(len(preference.objectIds()), 1)

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    # make sure that subobjects are not unindexed after making template.
    subobject_uid = document.objectValues()[0].getUid()
    self.assertEqual(len(self.portal.portal_catalog(uid=subobject_uid)), 1)

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    self.accounting_module.manage_delObjects(ids=[document.getId()])

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    transaction.commit()
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    self.tic()

    template = preference.objectValues()[0]

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    cp = preference.manage_copyObjects(ids=[template.getId()],
                                       REQUEST=None, RESPONSE=None)
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    new_document_list = self.accounting_module.manage_pasteObjects(cp)
    new_document_id = new_document_list[0]['new_id']
    new_document = self.accounting_module[new_document_id]
    new_document.makeTemplateInstance()

4002
    transaction.commit()
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    self.tic()

    self.assertEqual(new_document.getTitle(), 'My Accounting Transaction')

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  def test_Base_doAction(self):
    # test creating a template using Base_doAction script (this is what
    # erp5_xhtml_style does)
4010
    self.disableUserPreferenceList()
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    self.login('claudie')
    preference = self.portal.portal_preferences.newContent('Preference')
    preference.priority = Priority.USER
    preference.enable()

4016
    transaction.commit()
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    self.tic()

    document = self.accounting_module.newContent(
                              portal_type='Accounting Transaction')
    document.edit(title='My Accounting Transaction')
    document.Base_makeTemplateFromDocument(form_id=None)
    
    template = preference.objectValues()[0]
    ret = self.accounting_module.Base_doAction(
        select_action='template %s' % template.getRelativeUrl(),
        form_id='', cancel_url='')
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    self.failUnless('Template%20created.' in ret, ret)
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    self.assertEquals(2, len(self.accounting_module.contentValues()))

4031

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def test_suite():
  suite = unittest.TestSuite()
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  suite.addTest(unittest.makeSuite(TestAccountingWithSequences))
  suite.addTest(unittest.makeSuite(TestTransactions))
4036
  suite.addTest(unittest.makeSuite(TestAccounts))
4037
  suite.addTest(unittest.makeSuite(TestClosingPeriod))
4038
  suite.addTest(unittest.makeSuite(TestTransactionValidation))
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  suite.addTest(unittest.makeSuite(TestAccountingExport))
4040
  suite.addTest(unittest.makeSuite(TestAccountingTransactionTemplate))
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  return suite